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    Research Project [13/13]
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    Showing items 411-420 of 779. (78 Page(s) Totally)
    << < 37 38 39 40 41 42 43 44 45 46 > >>
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    DateTitleAuthors
    2012-01-09 匯率曝險與市場競爭之關係-以台灣電子業為例;Exchange Rate Exposure and Market Competition – the case of Taiwanese electronics industry 王雪華; Hsueh-hua Wang
    2011-11-22 流動性、市場效率,與外資交易; Liquidity, Market Efficiency, and Foreign Institutional Trading 翁培師; Pei-Shih Weng
    2011-08-31 公司治理與風險性資本的關係:以美國壽險及健康險業為例; Corporate Governance and Risk-Based Capital: Evidence from the U.S. Life/Health Insurance Industry 林宛玉; Wan-yu Lin
    2011-08-30 3C通路廠商經營策略與價值分析-以S公司為例; The Management Strategies and Enterprise Value Analysis of A 3C Distributor-A Case Study 劉文傑; Wun-Jie Liou
    2011-07-26 商業銀行資本適足程度與治理機制對經營績效的影響; The effects of capital adequacy and corporate governance on commercial bank performance 鄭婷婷; Ting-ting Zheng
    2011-07-26 none Investigating the Investment-Uncertainty Relationship Under Lévy and CEV Processes 李世偉; Shih-wei Lee
    2011-07-25 不動產投資信託與其它資產之配置; Strategic Allocation of REITs and Related Assets using ETFs 李宗鐸; Tsung-to Lee
    2011-07-25 none Rational and Sentimental Components in Long-term Stock Volatility 葉育誠; Yu-Cheng Yeh
    2011-07-25 none Firm Attributes and Long Memory in Volatility 陳鈺雯; Yu-wen Chen
    2011-07-25 長天期之期貨避險策略; Longer Horizon Futures Hedge 林逸昌; Yi-Chang Lin

    Showing items 411-420 of 779. (78 Page(s) Totally)
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