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    顯示項目401-450 / 551. (共12頁)
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    日期題名作者
    2009-06-20 美元兌新台幣匯率與台灣股市關聯性之理論探討與實證分析; The Theoretical Discussion and Empirical Analysis of The Relationship Between The FX Rate of USD/TWD and Taiwan Stock Market 林宜賢; Yi-Shyan Lin
    2009-06-20 動態投資組合保險策略之應用—; 以紐約證券交易所發行之ETFs為實證 Application of Dynamic Portfolio Insurance Strategy —Using the ETFs listed on New York Stock Exchange 林佳蓁; Chin-Chen Lin
    2009-06-20 財務比率與股價報酬關聯性之研究--以全球汽車產業為例; Financial ratios and return on stock price of the relevance of research - to the global automotive industry as an example 劉彥伯; YEN-PO LIU
    2009-06-20 以完全複製不定期調整方式建構指數股票型基金之績效研究; The performance research of complete duplication in order to adjust the way from time to time simulation of the stock index fund 胡建熙; CHIEN-HIS HU
    2009-06-20 公司治理品質的變數 —對營建股股票價值之影響;The Variances in Corporate Governance Quality— Impacts on the Stock Value of the Companies in Construction industry 王婷媛; Ting-Yuan Wang
    2009-06-20 投資組合理論在財富管理上之應用; The application of mean-variance optimization in the wealth management field. 王進益; Ginn-Yih Wang
    2009-06-20 以存活分析法預測通信貸款之還款期限; Utilizing Survival Analysis to Predict Duration of Mail Loan Products 陳勝忠; Sheng-Chung Chen
    2009-06-20 期貨市場三大法人之交易行為與台指期貨報酬之關聯性; The Relationship Between Taiwan Stock Index Futures Return and Three Primary Institutional Investors 黃莉青; Li-ching Huang
    2009-06-11 股票除息對期貨與現貨報酬之影響; The effects of ex-dividend on the returns of spot and futures 劉宗銘; Tsung-Ming Liu
    2009-06-11 主權基金的角色定位與未來影響力之研究; Current positioning and the future influence of Sovereign wealth funds 陳小芳; Hsiao-fang Chen
    2009-06-11 我國公債期貨之研究分析; The analysis of Taiwan Government Bond Futures 包偉康; Wei-kang Pao
    2009-05-06 技術分析在共同基金交易擇時能力實證~以停損點反向操作指標(SAR)為例~; Technical Analysis of Timing Ability of Selecting Mutual Funds ~An Application of the SAR (Stop & Reverse)Indicator~ 林鈺純; Yu-Chuen Lin
    2009-01-09 台灣證券借貸市場借券費率之實證研究; The Empirical Research of Loan Fee Rate in Taiwan Securities Borrowing and Lending Market 黃執敬; CHIH-CHING HUANG
    2008-12-27 虛擬銀行之可行性分析 -以HSBC為例 鄧文玲; Wen-Ling Teng
    2008-10-03 銀行作業風險管理制度的探討-以L銀行為例; The Bank Operational Risk Management System's Discussion Take The L Bank As An Example 湯濟顯; Jih_Shein Tang
    2008-07-10 目標成本制度執行問題與因應對策之探討-以國內某汽車公司為例; A Strategic Case Study on Executing A Target Costing System for A Dedicated Motor Company 王淑慎; Shu-shen Wang
    2008-07-09 銀行在併購風潮下之經營策略─以永豐銀行為例 陳志精; Alex Chen
    2008-07-09 我國上市櫃電子業之長短期外匯風險研究–以網路通訊類股為例 呂亞諭; Ya-Yu Lu
    2008-07-09 銀行分行屬性差異與績效評核制度之研究- 以個案銀行之消費金融分行為例 陳文鈺; Wen-yuh Chen
    2008-06-26 金融商品會計對資訊攸關影響之探討; THE VALUE RELEVANCE OF FINANCIAL INSTRUMENTS 林正中; Jeng-jong Lin
    2008-06-26 建築業財務報表之剖析; The Study of Analysis Architecture Industry Finance Reporting 江燕和; CHIANG YEN
    2008-06-26 跨國企業重複課稅與租稅規劃 邱順興; SHUN-HSING CHIU
    2008-06-26 銀行如何訂定建築業的授信政策; How does a commercial bank to enact a loan strategy about building industries 王薰慶; Hsun-ching Wang
    2008-06-23 外資進入對本國問題銀行之影響; The influence of foreign financial institutions investing in mismanaged banks 唐嘉琪; Chia-chi Tang
    2008-06-23 共同基金投資人投資行為及風險偏好之研究; Study on the mutual fund investors' investment behavior and risk preferences 吳忠義; Chung-I Wu
    2008-06-14 使用信用卡循環信用持卡人特性之研究; A study for the characteristics of revolvers in credit card 陳思蓉; SU-JONG CHEN
    2008-06-14 證券商分公司經營績效-以元大證券為例; Performance Valuation on the Branch Offices of Securities Brokerage: Evidence from YUANTA Securities 王俊傑; Chun-Chieh Wang
    2008-06-14 不動產市場與股票市場關聯性分析-以美國.澳洲.日本.台灣市場為例; The Relation between Real Estate Market and Stock Market Evidence from US, Australia, Japan and Taiwan 蔡明倫; Ming-lun Tsai
    2008-06-14 銀行投資公債業務之探討分析; Analysis of Bank,s Government Bond Investment 盧永裕; Yung-Yu Lu
    2008-06-14 正ALPHA套利投資策略: 以台灣五十成分股探討;+C4400The Performance of Positive Alpha Arbitrage Investment Strategy: Evidence from the Taiwan 50 Index Component Stocks 劉忠偉; Chung-Wei Liu
    2008-06-14 所得稅法新制對債券流通市場之影響; The Impact of New Income Tax Law on the Secondry Bond Market 黃川榮; Chuan-Jung Huang
    2008-06-14 經濟變數對十年期公債殖利率影響之研究; The research of the influence of the economical variable to the government bond's yield rate 簡至昱; Chih-Yu Chien
    2008-06-14 私募基金入主國內銀行之認購價格實證研究-以凱雷入主大眾銀行為例; The Offering Price of Private Equity Fund for a Domestic Bank-A Case Study of Carlyle Group's Offering for Ta Chong Bank 蘇意晴; Yi-ching Su
    2008-06-14 從股務代理機構之角度探討全面發行無實體有價證券作業; The Development of the Operations of Dematerialization: A View from Transfer Agents 林素貞; Su-Chen Lin
    2008-06-11 財富管理, 基金產業發展與兩者之合作關係: 以台灣金融市場為例 ;The Development of Wealth Management and Investment Funds Sector, and the Connection between the Two: Taiwan Finical Market as an Example 陳文雄; Kenny Chen
    2008-06-11 開發型不動產信託之研究-以台北都會區大眾捷運系統松山線松江南京站聯合開發區捷十基地案為例; A research study on developmental real estate trust -- a case study on Taipei MRT Songshan line Songjiang-Nanjing Station Joint Development Base No. 10. 柯建成; Chien-Cheng Ko
    2008-06-03 台灣鋼鐵業經營績效之研究; The study of steel industry operation performance in Taiwan 陳素勤; Su-chin CHEN
    2008-06-03 影響理財專員績效表現之因素-以個案銀行為例; The factors of affecting financial planner's performance-case study 呂秀媛; Hsiu-Yuan Lu
    2008-06-02 台灣地區銀行經營績效與風險指標之研究; The Empirical Study of Banking Operation Performance and Risk Evaluation in Taiwan 毛傳志; Chuan-Chih Mao
    2008-05-31 抵押債權證券與次貸危機相關性研究; Collateralized Debt Obligation and Sub-prime Mortgage Crisis Correlation Research 王泰人; Tai-Jen Wang
    2008-05-30 臺灣公司治理之探討-以銀行業為例; Corporate Governance in Taiwan: Evidence from the banking industry 唐英貴; Ying-Kuei Tang
    2008-05-30 以投資型保險作退休理財規劃; Making retirement financial plans with Investment-Oriented Insurance 楊雨農; Yu-Nung Yang
    2008-05-30 連動債投資風險探討--C銀行一年期高收益型連動債個案研究; A Study on the Risk Factors of Structured Note-A Real Case for High-Yield Notes 黃慧如; Hui-Ju Huang
    2008-05-30 信用評等機制與次級房貸危機; Credit Rating Mechanism and Sub-primes Crisis 劉晶樺; Ching-hua Liu
    2008-05-30 私募股權基金之研究; Research on Private Equity Fund 許景翔; Ching-Hsiang Hsu
    2008-01-11 應用平衡計分卡分析台灣租賃產業的未來走向-以C公司為例; Using Balanced Scorecard to Analyze the Future of Taiwan Leasing Industry -Taking C Company for Example 陳國財; Kuo-tsai Chen
    2007-10-08 滬、港、台、美四地股市指數與區域經濟成長關聯性及共整合之研究─以中、港CEPA實施前後期為例 吳其定; Chi-Ting Wu
    2007-07-07 停損點反向操作指標在台灣債券市場實證; Research for “Stop And Reverse” Indicator in Taiwan Bonds Market 陳政元; cheng-Yuan Chen
    2007-07-07 匯率風險值衡量之實證研究-以新台幣、日圓、英鎊、歐元匯率為例; Study on the Measurement of Foreign Exchange Risk: VaR Measurement and Back-testing on New Taiwan Dollar,Japanese Yen,British Pound and Euro 馬其明; Chi-Ming Ma
    2007-07-07 探討央行升息國內十年期指標公債未同步上升之原因; Investigating the reasons that domestic 10-year index bond yield did not rise with the Central Bank’s rise in rates 呂南進; NAN-CHIN LU

    顯示項目401-450 / 551. (共12頁)
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    每頁顯示[10|25|50]項目

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