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    Showing items 301-350 of 1122. (23 Page(s) Totally)
    << < 2 3 4 5 6 7 8 9 10 11 > >>
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    DateTitleAuthors
    2016-07-01 目標可贖回遠期合約之評價與分析;The Pricing and Analysis of Target Redemption Forwards 林聖筑; Lin,Sheng-Chu
    2016-06-30 適應性市場假說在標準普爾指數的實證與投資應用;Empirical Evidence and Investing Application of Adaptive Markets Hypothesis in S&P500 林玉堂; Lin,Yu-Tang
    2016-06-24 台灣證券市場不同類別放空交易者在盈餘宣告前後之資訊優勢探討;The Informedness of Different Types of Short-sellers around Earnings Announcements: Evidence from Taiwan 郭道儒; Kuo,Dao-Ju
    2016-06-24 適應性市場假說之最適避險比率與擇時投資 ── 美國 S&P500 指數實證分析;The Optimal Hedge Ratio and Timing under the Adaptive Market Hypothesis: An Empirical Study of the S&P500 Index 游凱卉; Yu,Kai-Hui
    2016-06-24 薪資支付比率與公司債利差之關係探討;The relationship with pay ratio and yield spread. 楊鎧名; Yang,Kai-Ming
    2016-06-21 顧客公司避稅活動與供應商公司崩盤風險相關性之研究;The association of customer tax avoidance and supplier crash risk 鄭郁涵; JHENG,Yu-Han
    2016-06-20 上游供應商避稅活動對下游顧客公司暴跌風險之研究;The association between the supplier’s corporate tax avoidance and customer’s firm-specific stock price crash risk 賀靖雅; Ho,Ching-Ya
    2016-06-17 公司特性對獨立董事設置意願之影響;The Impact of setting up Independent Directors on Board Characteristics 周蓓雯; Chou,Bei-Wun
    2016-06-17 股東常會開會時間長度探討與分析;Research on the length of time of annual shareholder meeting 何旻瑾; Ho,Min-Jin
    2016-06-17 董事長權力對公司投資決策與經營績效之影響;Chairman Power on the Firm’s Investment Decision and Operating Efficiency 邱于容; Chiu,Yu-Jung
    2016-06-16 金融機構承貸與信保基金核保之中小企業的違約預警模型;The Warning Default Models of SME for Financial Institution and SMEG 林政辰; Lin,Cheng-Chen
    2016-05-27 摩根台灣指數剔除預測之研究;The Prediction of Deletion of MSCI Taiwan Index 彭柏勳,; Peng,Bo-syun
    2016-03-24 105年財務金融研究所(乙組)-統計-入學考試題 財務金融研究所乙組
    2016-03-24 105年財務金融研究所(乙組)-微積分-入學考試題 財務金融研究所乙組
    2016-03-24 105年財務金融研究所(乙組)-經濟分析-入學考試題 財務金融研究所乙組
    2016-03-24 105年財務金融研究所(甲組)-財務管理-入學考試題 財務金融研究所甲組
    2016-03-24 105年財務金融研究所(甲組)-統計-入學考試題 財務金融研究所甲組
    2016-03-24 105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
    2016-01-25 選擇權定價理論以Heston Model為例 評價股權與外匯商品;Option Pricing Theory : Implementation of Heston Model for Index Options and FX Options 賴瑋鎗; Lai,Wei-Chiang
    2016-01-22 媒體報導對初次上櫃股票的長期績效影響 林芳宇; Lin,Fang-Yu
    2016-01-13 公司治理與企業社會責任對獨特性風險之影響;The Influence of Corporate Governance and Corporate Social Responsibility on Idiosyncratic Volatility 劉郁呈; Liu,Yu-Cheng
    2015-12-30 金融機構的綠色金融參與;Financial Institutions’ Engagements in Green Finance 成奕寬; Cheng,Yi-Kuan
    2015-08-31 依股價泡沫形成投資策略之可行性分析;The Feasibility Analysis of Forming an Investment Strategy Depending on Price Bubbles 范姜士君; Shi-jun,Fan-jiang
    2015-08-05 以 Aumann and Serrano 新風險指標重新檢視基金投資策略之績效;Measuring the Performace of Investment Strategies with a New Index of Riskiness 楊峻瑋; Yang,Jun-wei
    2015-08-03 債券投資組合風險值計算之探討 蕭培均; Hsiao,Pei Jun
    2015-07-24 併購交易完成後,主併公司與目標公司財務顧問延續合作之因素探討;The Reasons Why Acquirers Begin to Cooperate with Target Advisors after M&As 劉峻廷; Liou,Jyun-Ting
    2015-07-23 台指選擇權隱含波動度價差之交易策略探討;The research of Trading Strategies of Implied Volatility Spreads in Taiwan Index Option market 林柔萍; Lin,Rou-ping
    2015-07-23 全球股票市場動能來源:文化觀點;An Invesgitation of the Sources of Momentum Profitability: A Cultural Perspective 戚育嘉; Chi,Yu-chia
    2015-07-20 無母數動能策略 陳宗佑; Chen,Tsung-Yu
    2015-07-16 CEO年齡與選擇併購目標公司之偏好 陳柏勳; Chen,Po-Shun
    2015-07-14 外部董事產業經驗對於併購的影響 高雅紜; Kao,Ya-Yun
    2015-07-09 外資持股比例與公司治理之關聯性 徐宇聲; Hsu,Yu-sheng
    2015-07-08 死亡率改善與總體因子之領先效果在死亡率模型建構之研究;A Study of Mortality Improvement and Macroeconomic Leading Lags in Mortality Modeling 李哲緯; Li,Che-Wei
    2015-07-07 盈餘變動、信用利差與債券流動性;Earning volatility, credit spread and bond liquidity 陳詩芸; Chen,Shih-Yun
    2015-07-06 外匯市場波動和交易量在52週高點與低點附近的變化;Volatility and volume around exchange rates’ 52-week highs and lows in the FX market 全泓舟; HONGZHOU,QUAN
    2015-07-03 隨機波動度下選擇權訂價模型之探討- 以股權及匯率結構型商品為例;Princing Options on Stochastic Volatility Model: Based on Equity Linked Note and FX Linked Note 吳晉賢; Wu,Chin-Hsien
    2015-07-02 資訊不確定性與信用利差和債券流動性之關係 王晴慧; Wang,Ching-hui
    2015-06-30 銀行放款業務比例對金融控股公司報酬與風險之影響;Bank Loans Associated with the Risks and Returns of Financial Holding Company 古惠亭; Ku,Hui-ting
    2015-06-26 影響企業對溫室氣體盤查的重視因子- 以國際大型金融機構為例;Factors of influencing financial institutions’ engagements in Greenhouse Gas Inventory 賴廷浩; Lai,Ting-hao
    2015-06-25 微型金融過度負債的偵測與預防 -- 以MIX為例;Detect and Prevent Over-indebtedness in Microfinance:Taking MIX for example 吳秀伶; Wu,Hsiu-ling
    2015-06-23 結構型商品評價與分析─以匯率連結商品為例;The analysis of structured notes─Exchange rate 吳允喬; Wu,Yun-chiao
    2015-06-22 比較外資與本土機構投資人的選股能力-以選舉事件為例 許閔婷; HSU,MING-TING
    2015-06-22 國內券商發展具有競爭力之國際投資銀行策略 廖芊婷; Liao,Chien-Ting
    2015-06-22 演算法交易行為對外匯市場質量之影響 張碧瑜; Zhang,Biyu
    2015-06-15 興櫃公司上市櫃申請的價格動態過程;The change of price of initial public offerings (IPO) 楊凱卉; Yang,Kai-Hui
    2015-06-10 金融消費者保護法對金融商品行銷之衝擊;The Shock of Financial Consumer Protection Act 鍾本偉; Chung,Pei-wei
    2015-03-31 股票市場流動性和公司債殖利率差:理論與實證;Stock Liquidity and Corporate Bond Yield Spreads: Theory and Evidence 黃弘毅; Huang,Hung-Yi
    2015-03-26 104年財務金融研究所(乙組)-統計-入學考試題 財務金融研究所乙組
    2015-03-26 104年財務金融研究所(乙組)-經濟分析-入學考試題 財務金融研究所乙組
    2015-03-26 104年財務金融研究所(乙組)-微積分-入學考試題 財務金融研究所乙組

    Showing items 301-350 of 1122. (23 Page(s) Totally)
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    View [10|25|50] records per page

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