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    政大機構典藏 > 商學院 > 統計學系 > 期刊論文 >  Item 140.119/18131
    Please use this identifier to cite or link to this item: http://nccur.lib.nccu.edu.tw/handle/140.119/18131

    Title: 隨機投資模型與長期負債投資避險策略之研究
    Other Titles: A Study of Stochastic Investment Model and Investment Strategies for Long-term Liabilities
    Authors: 黃鴻智;余清祥;楊曉文;黃彥富
    Keywords: 隨機投資模型;Granger因果關係;資產負債管理;靜態避險;Stochastic investment model;Granger;Static hedging
    Date: 2006-03
    Issue Date: 2008-12-19 14:49:38 (UTC+8)
    Relation: 證券市場發展季刊, 18(2),1-40
    Data Type: article
    Appears in Collections:[統計學系] 期刊論文

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