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School of Management at National Central University
Department of Finance
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Collection Statistics
Item counts issued in 3 years: 51(12.81%)
Items With Fulltext: 398(100.00%)
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Download times greater than 0: 398(100.00%)
Download times greater than 100: 371(93.22%)
Total Bitstream Download Counts: 156290(68.38%)
Last Update: 2025-12-23 20:07
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Recent Submissions
資訊交易機率估計法的精進:布朗與希爾蓋斯特(2007)的修正;Cont...
高階風險態度: 理論, 實驗與實證;Higher-Order Risk...
共同機構持股與企業勞動投資決策;Common Institutiona...
三篇有關中美貿易戰爭的論文研究;The Return to Prote...
新冠疫情期間紓困貸款政策、銀行流動性創造與金融穩定之探討:以臺灣為例;...
外匯市場的流動性;Liquidity in Foreign Excha...
戰略變革,市場學習,和回報延續( II );Strategic Cha...
台灣公司永續報告書重大議題之深入探討;Further Investig...
SOFR 利率選擇權之評價與避險;Pricing and Hedgin...
負面ESG事件之漣漪效應與過度自信經理人ESG清洗行為研究;The R...
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Showing items 201-225 of 398. (16 Page(s) Totally)
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Date
Title
Authors
2013-12-01
投資人辨識度可以解釋多角化『折價』嗎?;Does Investor Recognition Explain the Diversification “Discount”?
李韋憲
2013-12-01
定價誤差與個別風險波動的迷思;Mispricing and Idiosyncratic Volatility Puzzle
葉錦徽
2013-12-01
保險公司及退休金制度長壽風險避險策略之研究;A Study of Hedging Strategies for Longevity Risk in Insurance Companies and Pension Plans
楊曉文
2013-12-01
財會學門規劃研究推動計畫
張傳章
2013-12-01
退休基金投資及避險策略:波動度指數特性分析,模型建構與VIX衍生商品之評價;Investment and Hedging Strategy for Pension Fund: Aanlysis of Volatility Index(Vix), Modeling and Valuation of VIX Derivatives
楊曉文
2013-12-01
探討利率衍生性商品的一致性定價及避險:LMM 利率模型;Consistent Pricing and Hedging of Interest Rate Derivatives within the LMM Framework
吳庭斌
2013-12-01
短期動能與長期報酬反轉現象再探;Short-Term Momentum and Long-Term Return Reversals Revisited
周賓凰
2013-12-01
經理人債型報酬積極管理之研究;The Active Management of Debt-Like Compensation
沈信漢
2013-12-01
補助國內大專院校購置 Datastream 財經資訊資料庫專案
高櫻芬
2013-12-01
資訊不對稱指標在資訊及非資訊事件的表現;Information Asymmetric Measures in Informational and Non-Informational Events
賴弘能
2013-12-01
價差選擇權及一籃子選擇權之定價、避險及應用:Johnson Distribution Faimly;Pricing, Hedging and Applications of Spread and Basket Options with the Johnson Distribution Family
吳庭斌
2013-12-01
橫斷面報酬變異剖析;An Anatomy of Cross-Sectional Return Dispersions
周賓凰
;
柯冠成
2013-12-01
總體經濟訊息與外匯市場的交易活動;Macroeconomic Information and Trading Activities in the Foreign Exchange Market
高櫻芬
2013-12-01
總體與財務時間序列中的趨勢、變化與景氣循環的波動 - 以經驗模態解構法觀點出發之比較與應用;On the Trend, Variability and Business Cycle Fluctuations in Macroeconomic/Financial Time Series - A New Empirical Model Decomposition Approach
葉錦徽
2013-05-01
補助國內大專院校購置 S&P Compustat 企業財務分析資料庫專案
楊曉文
2013-05-01
管理者薪資結構與公司風險:聘前篩選與聘後激勵 ; Compensation structure and firm risk: the screening channel and the incentive channel
李韋憲
2012-12-01
EBS外匯市場委託單之資訊內涵;Information Content of Orders in the Ebs Foreign Exchange Market
高櫻芬
2012-12-01
The Role of Anchoring Bias in the Real Estate Market
趙慶祥
2012-12-01
一籃子匯率選擇權之評價及探討資產負債的匯率風險管理之應用;Valuation of Currency Basket Options and Their Applications in Managing Currency Risk of Assets and Debts
吳庭斌
2012-12-01
多重資訊下不對稱之保守偏誤及確定性效果之研究;A Study on the Asymmetric Conservatism Bias and the Creditability Effect to Multiple Information Contents
陳鴻毅
2012-12-01
估計選擇權隱含測度權益Beta值之一般化模型:理論與實證;A General Model for Estimating Option-Implied Measure of Equity Beta: Theories and Empirical Studies
張傳章
2012-12-01
長壽風險模型之建構與應用;A Study of Longevity Risk Modeling and It$S Application
楊曉文
2012-12-01
指數成份股調整的研究:來自國際的實證;Research on Index Additions and Deletions: International Evidences
徐政義
2012-12-01
財會學門規劃研究推動計畫
張傳章
2012-12-01
探討利率衍生性商品的一致性定價及避險:LMM 利率模型;Consistent Pricing and Hedging of Interest Rate Derivatives Within the Lmm Framework
吳庭斌
Showing items 201-225 of 398. (16 Page(s) Totally)
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