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    Showing items 426-450 of 608. (25 Page(s) Totally)
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    DateTitleAuthors
    2009-07-08 後金融風暴時期投資銀行經營環境及競爭優勢之研究- 以高盛證券與野村證券為例;A study of investment banks' operating enviroments and competing strength in post financial crisis era - a case study of Goldman Sachs and Nomura 許維真; Wei-chen Hsu
    2009-07-06 生命週期基金 :行為財務學觀點;Life-cycle fund:Perspective of Behavioral Finance 高佩君; Pei-chun Kao
    2009-06-30 金融機構洗錢防制研究; A Study on Financial Institutions’ Money Laundry Control 黃怡仁; Yi-Jen Huang
    2009-06-30 理財顧問之專業倫理探討; A Study on Financial Advisors’ Professional Ethics 林惠文; Hui-wen Lin
    2009-06-30 世代金融危機的比較:一九三○年代經濟大蕭條與二○○八年金融危機;Compare and Contrast the Two Financial Crises: The 1930s Great Depression and the 2008 Financial Crisis 馬義君; Yi-chun Ma
    2009-06-30 另類投資及其在資產配置中的地位; Alternative Investment and its Role in Asset Allocation 陳昭蓉; chao-jung chen
    2009-06-23 銀行企業授信風險評估與風險管理機制之研究─以個案銀行之鐵研科技授信案為例 廖豐業; Feng-yeh Liao
    2009-06-23 銀行對企業中長期資本支出授信可行性分析-以台北富邦銀行對XX科技授信為例 張明騰; ming-teng chang
    2009-06-23 大陸台商籌資決策與股票掛牌地點的選擇 --以香港上市公司「巨騰國際控股」為例;The Capital-Raising Strategy and the Choice of Stock Exchanges for Public Listing of Taiwanese Companies in China. --A Case Study of Ju Teng Int’l Holdings Ltd. 張瑋真; Wei-chen Chang
    2009-06-23 政府要求銀行配合對DRAM產業紓困措施之合理性-以茂德科技為例; The reasonability of government’s requesting the banks for bailout plans of DRAM industries - The Case of ProMOS Technology 郭振特; Chen-te Kuo
    2009-06-20 以KMV 及Logistic 模型計算發行公司違約機率-台灣股市實證研究 洪慧修; Hui-hsiu Hung
    2009-06-20 台灣中小企業融資、客群經營模式與經營策略問題之探討-以C銀行為例; Study of Financing, Customer Segmentation, and Business Strategy to Serve Small and Medium Enterprises in Taiwan-Case Study of Bank C 廖淑芬; Shu-Fen Liao
    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
    2009-05-04 98年財務金融研究所碩士在職專班-入學考試題 財務金融研究所碩士在職專班

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