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    Showing items 51-75 of 1096. (44 Page(s) Totally)
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    DateTitleAuthors
    2023-06-30 多因子量化選股策略研究;Research on Multi-factor Quantitative Stock Selection Strategy 賴詠瑜; Lai, Yung-Yu
    2023-06-28 ESG對現金持有及現金價值的影響 —以台灣上市上櫃公司為例;The Effect of Environment, Social and Governance on Cash Holdings and Cash Value:Evidence from Taiwan 吳旻容; Wu, Min-Jung
    2023-06-27 ESG在不同衝突、政權、自由的環境下對於流動性創造的影響:基於亞洲銀行的研究;The Impact of ESG with Different Conflict, Regime, and Freedom Situations on Liquidity Creation: Evidence from Banks in Asia 鄭佳育; Cheng, Chia-Yu
    2023-06-27 價格動能與Omega二階段排序交易策略:以台灣股票市場為例 高嘉佑; Gao, Jia-You
    2023-06-21 The Impact of Country-Specific Geopolitical and Country Risk on Firms’ Financial Flexibility: International Evidence 黃柏翔; Huang, Po-Hsiang
    2023-02-04 銀行流動性創造-基於文化視角;The Dimension of Bank Liquidity Creation: Culture Viewpoint 洪霈芩; Hong, Pei-Chin
    2023-02-01 月亮效應、投資人情緒與加密貨幣報酬;Lunar effect, investor sentiment and cryptocurrency returns 魏華延; Wei, Hua-Yen
    2023-02-01 比特幣風險與報酬之抵換關係;Risk-Return Relationship in the Cryptocurrency Market 張瀚; Chang, Han
    2023-01-13 內部債務與下行風險:基於 CEO、公司特徵與外部環境的研究;CEO Inside Debt and Downside Risk: Evidence in CEOs’, Firms’ Characteristics, and Outside Environment 吳聿晴; Wu, Yu-Ching
    2022-09-21 美國貨幣政策宣告對於國際貨幣市場的影響;The impact of FOMC announcements on international currency markets 賴怡安; Lai, Yi-An
    2022-09-16 加密貨幣價格跳躍和共同跳躍-方法比較與實證 張乃文; Chang, Nai-Wen
    2022-09-12 台灣通膨預測與重要變數探討 — 監督式降維模型之應用;Disentangling Latent Variables for Inflation Forecasting in Taiwan — Applications of Supervised Dimension - Reduction Methods 潘宗麟; Pan, Tsung-Lin
    2022-09-12 預測臺灣股市風險溢酬分位數 - 以偏分量迴歸整合高維資訊;Predicting Quantiles of Taiwan Equity Risk Premium - Aggregating Information via Partial Quantile Regression 霜皓帆; Shuang, Hao-Fan
    2022-08-08 目標到期債基金信用風險-Credit Portfolio View模型;The Credit Risk of Target Maturity Bond Funds - Credit Portfolio View Model 黃偉鳴; Huang, Wei-Ming
    2022-07-29 貨幣政策宣告對於外匯市場之影響;The impact of monetary policy announcements on the foreign exchange market 譚翔駿; Tan, Hsiang-Chun
    2022-07-18 新冠疫情及ESG投資對股價報酬率之影響;The impact of the Covid-19 pandemic and ESG investment on stock return 黃偉竣; Huang, Wei-Chen
    2022-07-12 創新投資與高品質創新對下檔系統風險的影響-以美國上市公司的樣本為例;The relationship between innovation investment, high-quality innovation, and downside risk: The empirical evidence from the U.S. 林立翔; Lin, Li-Shiang
    2022-07-07 ESG績效與分析師關注程度對公司股價報酬率之影響 廖家曼; Liao, Jia-Man
    2022-07-05 香港上市公司資本結構因素;The Determinants of Capital Structure in Hong Kong 張凱琪; Cheung, Hoi-Ki
    2022-07-04 加密貨幣交易策略探討:以MACD以及乖離率為例 裴昱; Pei, Yu
    2022-07-04 數位普惠金融會刺激創新成長嗎?;Does Digital Financial Inclusion Spur Innovation Growth? 李心慈; Li, Hsin-Tzu
    2022-06-30 企業社會責任與下方風險之關聯性;The Association between Corporate Social Responsibility and Downside Risk 陳韋宏; Chen, Wei-Hung
    2022-06-30 臺灣上市櫃公司不動產持有程度之影響因素;The determinants of the degree of corporate real estate holdings: Evidence in Taiwan 賴語晟; Lai, Yu-Cheng
    2022-06-29 分期分級董事會制度與公司股價暴跌風險之關聯性研究;The Relationship between the Staggered Board and Firm-Specific Stock Price Crash Risk 林芷岑; Lin, Chih-Tsen
    2022-06-29 伊斯蘭指數:篩選準則與建構指數;Islamic Index: Screening and Construction 翁銘宏; Weng, Ming-Hong

    Showing items 51-75 of 1096. (44 Page(s) Totally)
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