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School of Management at National Central University
Graduate Institute of Finance
--Electronic Thesis & Dissertation
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Collection Statistics
Item counts issued in 3 years: 61(8.38%)
Items With Fulltext: 728(100.00%)
Download counts of the item
Download times greater than 0: 728(100.00%)
Download times greater than 100: 688(94.51%)
Total Bitstream Download Counts: 482522(74.34%)
Last Update: 2024-07-18 02:23
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Recent Submissions
橙汁期貨謎題再探;The FCOJ Puzzle Revisited
人力資本流動及CEO固守職位 對公司現金持有的影響 -以S&P...
TOM效應在台灣股市之實證研究
產品市場競爭對公司剝削員工程度的影響;The impact of pr...
考量違約風險下的可轉債評價樹模型;Pricing Convertibl...
氣候變遷與高階經理人薪酬績效設計之關聯性;The Relationsh...
宏觀審慎政策,戰爭與衝突以及銀行表現: 來自全球銀行的證據;Macro...
通貨膨脹的解構、預期與監管;Inflation Decompositi...
台灣股市價量關係之分量迴歸研究-由因子之角度探討
解構與預測產業報酬率-多元構面降維之觀點;Factorizing fo...
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Showing items 76-100 of 728. (30 Page(s) Totally)
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Date
Title
Authors
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
Showing items 76-100 of 728. (30 Page(s) Totally)
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