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    Showing items 1-10 of 1898. (190 Page(s) Totally)
    1 2 3 4 5 6 7 8 9 10 > >>
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    DateTitleAuthors
    2006 1,000銀行海外擴張的策略對當地銀行的影響及金融中心的吸引力(I) 沈中華; 陳俊忠; 陳家彬; 陳業寧; 黃台心
    1994 1980年代在外來經濟衝擊下,台灣金融政策的轉折 殷乃平
    1994-12 1987年股票大崩盤期間股價指數期貨基差與股價變動之研究 陳威光
    2013 2007年金融風暴前後台灣金融市場流動性之比較研究 張興華
    2004 322事件看台股期貨市場之流動性風險與系統性風險及短期投資折扣率之估算--從2004年總統大選後 張瀞文; Chang, Ching-Wen
    2000 40分鐘預測匯率危機 沈中華
    2004-04 A Bootstrap Method with Importance Resampling to Evaluate Value-at-Risk 林士貴; 傅承德; 柯子介; Lin, Shih-Kuei; Fuh, Cheng-Der; Ko, Tze-Jieh
    2014-06 A comparison of the technical efficiency of accounting firms among the US, China, and Taiwan under the framework of a stochastic metafrontier production function 黃台心; Chang,Bao-Guang; Huang,Tai-Hsin; Kuo,Chun-Yi
    2015-12 A comparison of the technical efficiency of accounting firms among the US, China, and Taiwan under the framework of a stochastic metafrontier production function Chang, Bao-Guang; Huang, Tai-Hsin; Kuo, Chun-Yi; 黃台心
    2011-08 A deterministic approach for solving the Hull and White interest rate model. 陳宏銘; Chen, Homing; 胡承方; Hu, Cheng-Feng

    Showing items 1-10 of 1898. (190 Page(s) Totally)
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