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    Showing items 701-725 of 728. (30 Page(s) Totally)
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    DateTitleAuthors
    2000-07-04 台灣股市穩定基金之績效評估 姚欣欣; Hsin-Hsin Yao
    2000-07-03 貸款保證組合與聯合保證之研究 巫昆忠; Kung-Chung Wu
    2000-07-03 花旗銀行成功之關鍵因素 李舒韻; Shu-Yu Lee
    2000-07-01 宏碁集團轉型策略之探討與歷史績效分析 賈尚文; Shang-Wen Chia
    2000-06-30 巨災債券之理論與實際 張偉忠; Weichung Chang
    2000-06-30 固定匯率下跨國股酬交換之評價; The Valuation of Quanto Equity Swaps 楊孝雰; Hsiao-Fen Yang
    2000-06-30 金融相互關連、脆弱程度與銀行危機之研究 陳夢婷; Meng-Ting Chen
    2000-06-28 台灣上市公司之外匯風險因子與金融風暴前後之變化 蘇鼎欽; Ding-Chin Su
    2000-06-27 台灣高科技產業有效稅率之主要影響因素--兩稅合一實施前後的比較 黃琬瑜; Wan-Yu Huang
    2000-06-26 我國證券業資本計提與壓力測試 王志文; Jih-Wen Wang
    2000-06-26 台灣股市日內報酬特性與交易策略; The Characteristics of Intraday return and Trading Strategies in Taiwan 黃鼎能; Ting-Nong Huang
    2000-06-26 兩稅合一對股票市場影響之實證研究 陳靜蓉; Chin-Jung Chen
    2000-06-23 蒙地卡羅模擬在選擇權評價上之運用 何振文; Chen-Wen Ho
    2000-06-22 國內企業使用衍生性金融商品避險之實證研究 江佳玲; Chia-Ling Chiang
    2000-06-21 台灣購併架構之研究--以「聯電五合一」案為例; Merger and Acquisition Profile in Taiwan 朱家伸; Chia-Shen Chu
    2000-06-21 傳統產業、資訊硬體產業及資訊服務業適用評價模式之探討 盧盈如; Yi-Ru Lu
    2000-06-21 投資期間與反向投資策略績效評估 周建忠; Chien-Chung Chou
    2000-06-21 考慮R&D與市場需求不確定下之高科技產業投資方案評估分析; The Evaluation of Investment Project for High-Tech Industry Under R&D and Market Demand Uncertainties 鍾炫城; Shiuan-Cheng Jung
    2000-06-20 國際資產配置與投資期限、資產種類關係之實證 陳榮茂; Jun-Mao Chen
    2000-06-20 因子、特徵與資產配置; Portfolio Optimization Using Factors and Characteristics 李文聖; Wen-Shen Lee
    2000-06-20 HJM模型下之存續期間與動態免疫策略 何瑞鎮; Ran-Zhen He
    2000-06-20 投資期限與資產定價因子; Investment Horizon and Asset Pricing Factors 向淑文; Shu-Wen Hsiang
    2000-06-19 TAIFEX與SIMEX執行成本與資訊解析之比較研究 呂玠珮; Jeich-Pei Lu
    2000-06-19 產業對股市投資策略的影響(漲買跌賣及反向操作投資策略); The Industry effect of stock moket's investment strategy 劉盈攸; Ying-Yi Liu
    2000-06-19 美式重設認購權證評價與蒙地卡羅方法; Reset Warrants Pricing, Reset Terms, and Liquidity Cost 徐士翔; Shih-Hsiang Hsun

    Showing items 701-725 of 728. (30 Page(s) Totally)
    << < 21 22 23 24 25 26 27 28 29 30 > >>
    View [10|25|50] records per page

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