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    Showing items 1-25 of 1006. (41 Page(s) Totally)
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    2022-04-12 111年財務金融研究所(甲組)-經濟分析-入學考試題 財務金融研究所甲組
    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

    Showing items 1-25 of 1006. (41 Page(s) Totally)
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