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School of Management at National Central University
Graduate Institute of Finance
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Collection Statistics
Item counts issued in 3 years: 55(7.30%)
Items With Fulltext: 753(100.00%)
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Last Update: 2025-04-26 12:14
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機構投資人及三大法人與企業 ESG 策略之關聯性 以台灣上市櫃公司為實...
動態共整合與最小獲利界限交易策略在台灣股市的實證研究;Dynamic ...
An Analysis of Ethics-augmented Mea...
策略差異化與貸款利差;Strategic Deviation and ...
戰爭對參戰國股市之衝擊 -宣戰、終戰之全面性分析;Impact of ...
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產業指數上下行波動預測 -可解釋性多元因子;Industry Inde...
建構情緒因子新方法及其對股市面向的預測性;The Constructi...
經理人大學階段恐怖攻擊經驗對公司現金政策及其價值之影響-以S&...
投資人異質性與投資人認知溢酬;Investor Heterogenei...
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Showing items 1-10 of 753. (76 Page(s) Totally)
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Date
Title
Authors
2024-07-29
An Analysis of Ethics-augmented Meanvariance Efficient Portfolios
黃子芮
;
Huang, Zi-Ruei
2024-07-29
動態共整合與最小獲利界限交易策略在台灣股市的實證研究;Dynamic Cointegration and Minimum Profit Bounds Trading Strategy: An Empirical Study in the Taiwan Stock Market
賴彥霖
;
Lai, Yan-Lin
2024-07-29
機構投資人及三大法人與企業 ESG 策略之關聯性 以台灣上市櫃公司為實證研究
林心慧
;
Lin, Hsin-Hui
2024-07-26
策略差異化與貸款利差;Strategic Deviation and Loan Spreads
杜淳薇
;
Du, Chun-Wei
2024-07-24
戰爭對參戰國股市之衝擊 -宣戰、終戰之全面性分析;Impact of war on the stock markets An analysis of declarations of war and war endings
陳彣毓
;
Chen, Wen-Yu
2024-07-23
An Extended Black-Litterman Model with Investor Sentiment
陳威霖
;
Chen, Wei-Lin
2024-07-22
產業指數上下行波動預測 -可解釋性多元因子;Industry Index UP and Down Volatility Forecast: An Interpretable Multivariate Factor Model
廖武靖
;
LIAO, WU-CHING
2024-07-19
建構情緒因子新方法及其對股市面向的預測性;The Construction of Multiple Methods for Sentiment Factors and Their Predictive Power on Stock Market Dynamics
朱鎧翊
;
Chu, Kai-Yi
2024-07-18
投資人異質性與投資人認知溢酬;Investor Heterogeneity and Investor Recognition Premium
謝宜程
;
Xie, Yi-Cheng
2024-07-18
經理人大學階段恐怖攻擊經驗對公司現金政策及其價值之影響-以S&P1500 指數上市公司為例;The Impact of CEO′s University Stage Terrorist Attack Experience on Corporate Cash Policies and Value: Evidence from S&P 1500 Index Companies
蔡承哲
;
Tsai, Cheng-Che
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