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Collection's Items (Sorted by Submit Date in Descending order): 1 to 20 of 527
Issue DateTitleAuthor(s)Text
-Bipolar influence of firm-generated content on customers' offline purchasing behavior: A field experiment in ChinaZhi Yang ; Yu Zheng ; Yufei Zhang ; Yanhui Jiang ; Hua-Tung Chao ; Shuh-Chyi Doong 
-Marginal effects of public employment on unconditional distribution of wage income in ChinaZhi-fang Su ; Xiao-xiang Ma ; Wei Xiao ; Mei-Yuan Chen 
-State-controlled banks and income smoothing. Do politics matter?Anh-Tuan Doan ; Kun-Li Lin ; Shuh-Chyi Doong 
-考慮流動性風險的選擇權評價與保證金調整之研究葉宗穎(Chung-Ying Yeh) ; 林丙輝(Bing-Huei Lin) ; 葉仕國(Shih-Kuo Yeh) ; 陳振宇(Chen-Yu Chen) 
-Nonparametric regression with multiple thresholds: Estimation and inferenceYan-Yu Chiou; 陳美源; Mei-Yuan Chen; Jau-er Chen
-What drives bank efficiency? The interaction of bank income diversification and ownershipAnh-Tuan Doan; Kun-Li Lin; 董澍琦; Shuh-Chyi Doong
-金融業董事會特性與績效之關聯性許于珊; Yu-Shan Hsu
-選擇權隱含風險中立機率密度函數之解釋能力與預測能力的檢驗-以外幣選擇權為例黃昭景; Jeffrey Huang; 陳仁遶; Ren-Raw Chen; 葉仕國; Shih-Kuo Yeh
-The liquidity impact on firm values: The evidence of Taiwan's banking industryChen Ren-Raw; Yang Tung-Hsiao; 葉仕國; Shih-Kuo Yeh
-Changes in ownership structure and bank efficiency in Asian developing countries: The role of financial freedomKun-Li Lin; Anh Tuan Doan; Shuh-Chyi Doong
-臺灣股票上市櫃公司資產流動性折扣之研究葉仕國; 陳仁遶; 葉宗穎; 林丙輝
-以SABR-LMM模型進行利率衍生性金融商品評價之探討葉仕國; 游承翰-
-以違約強度衡量出不同違約風險與股票報酬率之關係You-Yu Sun; 孫佑餘
-金融海嘯對於盈餘管理方式之影響Wei-Shan Cheng; 鄭瑋姍
-企業社會責任、分析師預測誤差與盈餘管理之關聯Ya-Ning Lee; 李雅寧
-企業社會責任與負債資金成本之關聯性研究Wan-Ru Yu; 余宛儒
-品牌效果對投資組合績效之影響─以奢侈品品牌為例Lin, Jen-Yu; 林貞妤
-董事會規模與董事會獨立性對董事薪酬與高階經理人薪酬的影響Chia-Jung Hu; 胡珈榕-
-匯率與機構投資者交易表現之研究Ching-Mei Chu; 朱靜眉
-企業融資後之營運績效─財務限制與違約風險Chia-Ching Hsieh; 謝家青
Collection's Items (Sorted by Submit Date in Descending order): 1 to 20 of 527