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    journal & Dissertation [27/27]
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    Collection Statistics

    Item counts issued in 3 years: 35(9.33%)
    Items With Fulltext: 375(100.00%)

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    Last Update: 2024-04-26 13:42


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    Showing items 1-50 of 375. (8 Page(s) Totally)
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    DateTitleAuthors
    2024-01-26 以產業組織及債券評價結構式模型探討資本適足率的決定因素;The Determinants of the Minimum Capital Requirement Rate Based on the Io Approach to Banking and the Structure Model of Debt 李丹
    2024-01-26 市場學習平均盈利能力和股價對收益驚喜的不對稱反應( I );Learning about Mean Profitability and Asymmetric Stock Price Reactions to Earnings Surprises( I ) 林基財
    2024-01-26 投資人自我控制, 財務專家建議及金融消費糾紛之關聯性分析 : 以台灣為例;The Study on the Relationship among Investors' Self-Control, Financial Advisior and Financial Dipute : Evidence Form Taiwan. 張傳章
    2024-01-26 股權結構如何影響公司的決策呢?( II );Ownership Structure and Corporate Conduct( II ) 彭淑卿
    2024-01-26 長短期投資人對股利政策、企業社會責任同儕效果之影響;The Impact of Investor Horizon on Peer Effects on Dividend and Csr 李韋憲
    2024-01-26 高階動差風險溢價-基於中介選擇權定價模型的新論述;Explaining Higher Order Moment Risk Premia- a New Argument Based on Intermediary Option Pricing Model 謝沛霖
    2024-01-26 意見分歧、凸顯性與資產定價異常現象;Disagreement, Salience, and Asset-Pricing Anomalies 周賓凰
    2024-01-26 資訊安全風險與公司理財決策的兩個研究議題;Two Studies on Cyber-Security Risk and Corporate Finance Decisions 黃泓人
    2023-07-17 SOFR 利率模型,SOFR 利率模型參數估計 與 SOFR 利率衍生性商品評價與避險;Sofr Interest Rate Model, Parameter Calibration and Valuation of Sofr Interest Rate Derivatives L 吳庭斌
    2023-07-17 一個新動態 CARE 模型及在財務與經濟尾端風險管理的應用;A New Dynamic Conditional Autoregressive Expectile (Care) Model with Tail Risk Management Applications in Finance and Economics 葉錦徽
    2023-07-17 三篇有關中美貿易戰爭的論文研究;The Return to Protectionism: Evidence from Us and China Trade War 彭淑卿
    2023-07-17 以日內樣本估計資訊交易機率;Estimating the Probability of Informed Trading with Intra-Day Observations 賴弘能
    2023-07-17 企業社會責任、投資人異質性與資產定價;Corporate Social Responsibility, Investor Heterogeneity, and Asset Pricing 周賓凰
    2023-07-17 投資人金融知識與ETFs市場參與度;Investors’ Financial Literacy and Their Participation in Etfs Markets 張傳章
    2023-07-17 創新與公司風險的深入探討;Further Investigation of Innovation and Firm Risk 李韋憲
    2023-07-17 補助國內大專校院購置「Compustat on S&P Capital IQ 企業財務分析」資料庫專案 賴弘能
    2023-07-17 補助國內大專院校購置「Eikon with Datastream for Office 財經資訊」資料庫專案 高櫻芬
    2023-07-17 補助國內大專院校購置「臺灣經濟新報」資料庫專案 黃泓人
    2023-07-17 銀行貸款條件是否考量品牌資本?;Do Banks Price Firms' Brand Capital? 黃泓人
    2023-03-08 投資人自我控制, 財務專家建議及金融消費糾紛之關聯性分析 : 以台灣為例;The Study on the Relationship among Investors' Self-Control, Financial Advisior and Financial Dipute : Evidence Form Taiwan. 張傳章
    2023-03-08 股權結構如何影響公司的決策呢?( II );Ownership Structure and Corporate Conduct( II ) 彭淑卿
    2023-03-08 長短期投資人對股利政策、企業社會責任同儕效果之影響;The Impact of Investor Horizon on Peer Effects on Dividend and Csr 李韋憲
    2023-03-08 貨幣政策宣告對於外匯市場的影響;Monetary Policy Announcements and Foreign Exchange Markets 高櫻芬
    2023-03-08 意見分歧、凸顯性與資產定價異常現象;Disagreement, Salience, and Asset-Pricing Anomalies 周賓凰
    2023-03-08 經理人過度自信與同儕效果之研究;The Research on Managerial Overconfidence and Peer Effects 何柏欣
    2023-03-08 經濟政策不確定性和產業競爭程度在財務上的應用;The Application of Economic Policy Uncertainty and Industry Competition in Finance 王志瑋
    2023-03-08 資訊安全風險與公司理財決策的兩個研究議題;Two Studies on Cyber-Security Risk and Corporate Finance Decisions 黃泓人
    2023-03-08 隨機優越: 高階風險態度、避險基金績效與新風險指標;Stochastic Dominance: Higher Order Risk Attitude, Hedge Fund Performance and Risk Index 黃瑞卿
    2022-07-26 初次公開上市的價格形成、公司特徵與上市方法的選擇;Initial Public Offerings Price Formation, Firm Characteristics, and the Choice of Going Public 徐政義
    2022-07-26 補助國內大專院校購置「臺灣經濟新報」資料庫專案 徐政義
    2022-07-26 補助國內大專院校購置「Eikon with Datastream for Office 財經資訊」資料庫專案 高櫻芬
    2022-07-26 以產業組織及債券評價結構式模型探討資本適足率的決定因素;The Determinants of the Minimum Capital Requirement Rate Based on the Io Approach to Banking and the Structure Model of Debt 國立中央大學財務金融學系
    2022-07-26 定期定額策略: 波動管理觀點;Dollar-Cost Averaging: a Volatility-Managed Perspective 國立中央大學財務金融學系
    2022-07-26 轉動永續發展新經濟-國立中央大學系列研發成果推廣活動 國立中央大學財務金融學系
    2022-07-26 一個新動態 CARE 模型及在財務與經濟尾端風險管理的應用;A New Dynamic Conditional Autoregressive Expectile (Care) Model with Tail Risk Management Applications in Finance and Economics 葉錦徽
    2021-12-21 經濟政策不確定性和產業競爭程度在財務上的應用;The Application of Economic Policy Uncertainty and Industry Competition in Finance 王志瑋
    2021-12-21 經理人過度自信與同儕效果之研究;The Research on Managerial Overconfidence and Peer Effects 何柏欣
    2021-12-21 過度自信經理人與環境汙染之研究;Ceo Overconfidence and the Environmental Pollutions 何柏欣
    2021-12-21 數個關於界限選擇權定價的相關研究;The Studies on the Valuation of Barrier Options 吳庭斌
    2021-12-21 消費外部性及投資不可逆轉性下的最適租稅及數量管制政策;Optimal Taxation and Quantity Ceiling Control When Consumption Exhibits Externality and Capital Investment Exhibits Irreversibility 李丹
    2021-12-21 長短期投資人對股利政策、企業社會責任同儕效果之影響;The Impact of Investor Horizon on Peer Effects on Dividend and Csr 李韋憲
    2021-12-21 意見分歧、凸顯性與資產定價異常現象;Disagreement, Salience, and Asset-Pricing Anomalies 周賓凰
    2021-12-21 投資人自我控制, 財務專家建議及金融消費糾紛之關聯性分析 : 以台灣為例;The Study on the Relationship among Investors' Self-Control, Financial Advisior and Financial Dipute : Evidence Form Taiwan. 張傳章
    2021-12-21 公司顧客集中度與股票流動性之探討;Customer Concentration and Stock Liquidity 黃泓人
    2021-12-21 資訊安全風險與公司理財決策的兩個研究議題;Two Studies on Cyber-Security Risk and Corporate Finance Decisions 黃泓人
    2021-12-21 隨機優越: 高階風險態度、避險基金績效與新風險指標;Stochastic Dominance: Higher Order Risk Attitude, Hedge Fund Performance and Risk Index 黃瑞卿
    2021-12-21 以序列蒙地卡羅提升高維計量模型結構式更新/學習效能的新方法及在財務與經濟的應用;New Methods for Structural Updating/Learning in High Dimensional Econometric Models via Sequential Monte Carlo with Applications in Economics and Finance 葉錦徽
    2021-12-21 指數成分股、供應鏈與企業社會責任;Index Membership, Supply Chain, and Corporate Social Responsibility 徐政義
    2021-12-21 補助國內大專校院購置「臺灣經濟新報」資料庫專案 徐政義
    2021-12-21 貨幣政策宣告對於外匯市場的影響;Monetary Policy Announcements and Foreign Exchange Markets 高櫻芬

    Showing items 1-50 of 375. (8 Page(s) Totally)
    1 2 3 4 5 6 7 8 > >>
    View [10|25|50] records per page

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