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    Showing items 71-80 of 1898. (190 Page(s) Totally)
    << < 3 4 5 6 7 8 9 10 11 12 > >>
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    DateTitleAuthors
    2022 價格動能與交易量的實證分析-以法國股市為例 郭士銘; Kuo, Shih-Ming
    2022 台灣上市櫃公司交易量與價格動能交易策略之研究 林彧生; Lin, Yu-Sheng
    2022 日本股市價格動能與流動性交易策略之研究 吳怡蓁; Wu, Yi-Chen
    2022 Max效應是否存在於日本股票市場- 以金融法規影響為例 吳艾樺; Wu, Ai-Hua
    2022 極端報酬與BETA因子之研究-以法國市場為例 盛寶陞; Sheng, Bao-Sheng
    2022 基於 LSTM 之外匯預測模型 黃莉婷; Huang, Li-Ting
    2022 槓桿及反向型ETF追蹤績效之研究 王鈺涵; Wang, Yu-Han
    2022 中國大陸ETF追蹤誤差之研究——以金融行業為例 李文婕; Li, Wen-Jie
    2022 企業ESG評分對其股價連動效應以及ESG投資策略之探討 陳信全; Chen, Hsin-Chuan
    2022 應用強化學習與卷積神經網路於投資組合配置 林冠宇; Lin, Guan-Yu

    Showing items 71-80 of 1898. (190 Page(s) Totally)
    << < 3 4 5 6 7 8 9 10 11 12 > >>
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