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    顯示項目51-100 / 728. (共15頁)
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    日期題名作者
    2022-06-22 經理人大學階段的恐怖攻擊經歷對公司併購標的與支付方式選擇之影響;The Impact of Chief Executive Officer’s (CEO’s) Experience of Terrorist Attacks during Their University Period on M&A Policies 莊孟儒; Chuang, Meng-Ju
    2022-06-21 企業重大性議題與股價資訊性之關聯性-以 臺灣上市(櫃)公司為實證研究;Corporate Materiality Issues and Stock Price Informativeness – Evidence from Listed Companies in Taiwan 吳哲萱; Wu, Che-Hsuan
    2022-06-20 經理人大學階段恐怖攻擊經驗對公司創新程度之影響-以S&P1500指數上市公司為例;The Impact of Chief Executive Officer’s (CEO’s) Experience of Terrorist Attacks during Their University Period on Corporate Innovation: A Case Study of S&P 1圍00 Index Listed Companies 王子朋; Wang, Zi-Peng
    2022-06-20 董監事海外學歷對台灣上市櫃公司ESG績效的影響;The Impact of Returnee Directors and Supervisors on ESG Performance in Taiwan 陳禹鑫; Chen, Yu-Hsin
    2022-06-17 以 ESG 觀點探討 SEO 公司短期報酬異象 — 以台灣市場為例 高右齊; kao, Yu-Chi
    2022-06-16 兩篇論文:公司理財相關研究;Two Essays on Corporate Finance 黎安俊; Tuan, Le Anh
    2022-06-06 女性CEO與氣候變遷相關議題之關係 許雅惇; Hsu, Ya-Tun
    2022-06-06 公司政治風險與CEO薪酬變化之關係;The Relationship Between Firm-level Political Risk and Change of CEO Compensation 廖韋傑; Liao, Wei-Jie
    2022-06-06 關於公司決策同儕效應的兩篇論文;Two Essays on Peer Effects on Corporate Decisions 阮胡義; Nghia, Nguyen Huu
    2022-05-31 氣候曝險與財務報表可讀性之相關性 鄭元琪; Cheng, Yuan-Chi
    2022-05-25 權益指數投資型保險商品在退休規劃上的運用;Equity Linked Life Insurance for Retirement Financial Planning 莊介博; 莊介博
    2021-10-25 文本情緒的報酬可預測性: 以中國股市?例;The Return Predictability of Text-based Sentiment: Evidence from China 林奇斌; Lin, Qi-Bin
    2021-08-17 權證對標的股價的預測性-以臺灣市場為例;The predictability of warrants against underlying stock prices - taking the Taiwan market as an example 廖唯均; Liao, Wei-Chun
    2021-08-16 價格動能策略-以台灣市值前100大公司為例;Price Momentum Strategy: Evidence from Top 100 Enterprises of Taiwan 林本耀; Lin, Ben-Yao
    2021-08-13 應用機器學習於數位貨幣社群網路之情緒分析:以比特幣為例;Applying machine learning in sentiment analysis of digital currency online posts:a case study of Bitcoin 李柏維; Lee, Po-Wei
    2021-08-10 正則化與Bootstrap對於投資組合最適化的效用;The effectiveness of regularization and Bootstrap for portfolio optimization 卓穎聖; Cho, Yin-Shen
    2021-08-06 參數不確定性下的資產配置驗證與展望;Verification and Prospect of Asset Allocation under Parameter Uncertainty 曾晨揚; Tseng, Chen-Yang
    2021-08-05 拍賣畫作投資報酬率的影響因素;The Key Factors of Repeat-sales Painting Investment Return 歐姿璇; Ou, Tzu-Hsuan
    2021-08-02 中籤率與折價幅度對報酬率影響之研究 —以台灣興櫃轉上市櫃股票為例 林育圻; Lin, Yu-Chi
    2021-07-29 金融商品之評價與分析-以可贖回債券與固定配息股權連結之境外結構式商品為例;Evaluation and Analysis of Financial Products - Take Callable Bond and Fixed Coupon Note for example 徐慧倫; Hsu, Hui-Lun
    2021-07-01 金融危機時期的薪酬變化與公司績效之關係 —以2008金融危機為例 蔣孟儒; Chiang, Meng-Ju
    2021-07-01 盈餘慣性之影響因素:資訊不對稱、流動性以及行為偏誤;The Reasons of PEAD: Information Asymmetry, Liquidity, and Behavioral Bias 潘立佳; Pan, Li-Chia
    2021-06-30 都市更新計畫對周邊房價影響之外溢效果: 臺灣的實證研究;The spillover effect of urban renewal on the surrounding housing prices: Evidence in Taiwan 張家綺; Zhang, Jia-Qi
    2021-06-30 新冠疫情及貨幣政策對亞洲股市的影響—— 以中國大陸、香港、台灣、韓國市場為例;The Impacts of COVID-19 Pandemic and Monetary Policy on Asian Stock Markets: An Empirical Analysis of China, Hong Kong, Taiwan, and South Korea Major Stock Indices 李綺昕; LI, QIXIN
    2021-06-29 CSR報告書重大議題矩陣與ESG行為之關聯性;The Relationship between CSR Report Materiality Matrix and ESG Behavior 莊承穎; Chuang, Chen-Yin
    2021-06-29 企業社會責任對於公司下方風險之影響;The Effect of Corporate Social Responsibility on Firm’s Downside Risk 張瑜; ZHANG, YU
    2021-06-29 機構投資人與企業CSR策略之關聯性_以台灣上市櫃公司為實證研究;The Relationship between Institutional Ownership and CSR Strategy - Evidence from Listed Companies in Taiwan 林誼萍; Lin, Yi-Ping
    2021-06-28 企業國際化程度、企業社會責任與銀行貸款利率;The degree of internationalization, corporate social responsibility, and bank loan interest rates 李紅昕; Lee, Hung-Hsin
    2021-06-22 黃金是否為避風港資產?-國際股市之實證分析;Is Gold a Safe Haven?-Evidence from International Stock Markets 賴怡靜; Lai, Yi-Jing
    2021-06-21 五因子模型於台灣股票市場報酬的實證研究;An Empirical Study of the Five-factor Model in Taiwan Stock Market Returns 王芯儀; Wang, Shin-Yi
    2021-06-16 因子訂價模型有效性之比較:台灣股市實證;The Comparison between assets pricing models: Empirical test in Taiwan stock market 陳姿伶; Chen, Tzu-Ling
    2021-06-16 護盤政策對臺灣加權指數的影響分析;Analysis of the Effect of the Stabilization Policy on Taiwan Capitalization Weighted Stock Index 李富瑋; Lee, Fu-Wei
    2021-06-15 美國債券期貨價差交易之研究;A Study on Spread Trading of U.S. Bond Futures 謝育辰; Hsieh, Yu-Chen
    2021-06-10 快速交易與極端價格之關聯性;The Relationship between Fast Trading and Extreme Price Movements 余杰鋼; Yu, Chieh-Kang
    2021-06-08 不確定性與國家治理對銀行流動性創造的影響:跨國銀行證據;The Effect of Uncertainty and Country Governance on Banks’ Liquidity Creation: International Evidence 陳明謙; Chen, Ming-Chien
    2021-06-07 探討流動性與ETF折溢價之關聯性;The Relationship between Liquidity and ETF Premium/discount 柯孟辰; Ko, Meng-Chen
    2021-06-01 不確定性對經濟表現的影響:與普惠金融和創新有關嗎?;The Impact of Uncertainty on Economic Performance: Do Financial Inclusion and Innovation Matter? 潘振民; Pan, Chen-Min
    2021-05-31 管理層變動限制與企業社會責任 陳芝涵; Chen, Chih-Han
    2021-05-28 公司女性友善程度對公司績效影響 -以台灣上市公司為例 黃鈺瑄; Huang, Yu-Syuan
    2021-04-16 財務寬鬆、公司治理與企業創新-以台灣半導體業為例;Financial Slack, Corporate Governance and Corporate Innovation: Evidence From the IC Industry in Taiwan 俞兆豐; Yu, Zhao-Feng
    2021-01-28 機構投資人買賣超與未來股票報酬;Institutional Investors’ Net Buying/Selling and Future Stock Returns 廖祺文; Liao, Chi-Wen
    2021-01-27 The impact of earnings management on the relationship between credit ratings and CDS spreads 莊子萱; Chuang, Zih-Syuan
    2021-01-25 時段分割在資訊交易機率估計上的應用;The Application of Time Splitting in the Estimation of PIN 陳采晴; Chen, Tsai-Ching
    2021-01-19 電影產業群眾募資運行模式研究-以中國市場為例 葉曉雯; XIAOWEN, YE
    2020-08-20 利用 XGBoost 建立台灣中小型企業信用風險評估模型;Using XGBoost model to establish a credit assessment model for SMEs in Taiwan 張莎煒; Zhang, Sha-Wei
    2020-08-17 房貸逾放風險的影響因子探討-以F銀行為例;The determinants of non-performing mortgage loans: The case of F Bank 沈育葦; Shen, Yu-Wei
    2020-08-06 保險業採取IFRS 17新制下,保險負債折現率對保險負債評價之影響:以Solvency II為例 李易翰; Lee, Yi-Han
    2020-08-04 IFRS17公報下傳統型保險負債合約之資產負債匹配對最佳估計負債評價分析:以ICS為例 林益賢; Lin, Yi-sian
    2020-07-29 Lucky CEOs and earnings quality 張渝祥; Chang, Yu-Hsiang
    2020-07-28 CSR 政策波動度與股價報酬之關係;The Relationship between CSR Volatility and Stock Return 王昱程; Wang, Yu-Cheng

    顯示項目51-100 / 728. (共15頁)
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