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    Last Update: 2025-07-16 07:27

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    Showing items 1-25 of 2557. (103 Page(s) Totally)
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    DateTitleAuthors
    2025-07 Common Ownership Networks and Board Gender Diversity 邱健嘉; Chiou, Calvin J.
    2025-06 房市恐慌購買與感知稀缺:新冠肺炎疫情期間之研究 陳明吉; 朱芳妮; 劉祉岑
    2025-06 Price formation around historical highs in retail-dominated stock markets: Evidence from Taiwan 周冠男; Chou, Robin K.; Lee, ShaoChen
    2025-04 Organization capital and takeover vulnerability 湛可南; Chan, Konan; Wang, Yanzhi; Yang, Hsiao-Lin
    2025-03 Too big to fail? Asymmetric effects of quantitative easing 周冠男; Chou, Robin K.; Chen, Hsuan-Chi; Lin, Chih-Yung; Lu, Chien-Lin
    2025-03 Cryptocurrency risk management using Lévy processes and time-varying volatility 岳夢蘭; Yueh, Meng-Lan; Wu, Hai-Tang
    2025-03 The Impact of Environmental Performance on Financial Outcomes: Evidence from Taiwan Chiou, Calvin J.; Li, Tsung-Hsuan; Chan, Chang; Hsieh, Chun-Kuei; 邱健嘉; 李宗軒; 詹場; 謝俊魁
    2025-01 CEO neuroticism and corporate cash holdings: Evidence from CEOs’ tweets 周冠男; Chou, Robin K.; Bui, Dien Giau; Lin, Chih-Yung; Lu, Chien-Lin
    2025 碩士班-財管系 114年 財務管理學系
    2025 股價突破歷史新高與未來報酬:台灣股市的實證研究 李紹禎; Lee, Shao-Chen
    2025 現股當沖降稅政策對公司股利政策的影響 游捷凱; Yu, Chieh-Kai
    2025 投資人情緒對台灣ETF之影響:ETF資金流與受益人數的實證研究 蔡依芯; Tsai, Yi-Hsin
    2025 台灣高股息 ETF 與市值型 ETF 之績效分析 謝晴雯; Hsieh, Ching-Wen
    2025 匯率風險揭露、避險策略與公司價值之關聯性 徐宇嫻; Hsu, Yu-Hsien
    2025 資安危機中的永續抉擇:台灣實證研究 巫可筠; Wu, Ke-Yun
    2025 經理人過度自信與企業價值:來自台灣內部人行為與財務政策之實證分析 劉佳諺; Liu, Chia-Yen
    2025 台灣總經數據公布與投資人解讀企業財報資訊的關聯性 謝宜芳; Hsieh, Yi-Fang
    2025 認知偏誤對購屋決策之影響:以台灣潛在購屋者為例 鍾沛妤; Chung, Pei-Yu
    2025 疫情下過度自信經理人的投資決策對公司績效的影響 鄭宸宜; Cheng, Chen-Yi
    2025 誰握新股鑰匙?IPO階段機構投資人參與比例與公司後續表現之探討 黃郁琇; Huang, Yu-Hsiu
    2025 CEO是否能從經驗中學習?來自ESG風險事件與企業永續表現之實證研究 翁柏萱; Weng, Po-Hsuan
    2025 銀行董監股權質押對銀行信用風險之影響 李承澔; LEE, CHENG-HAO
    2025 主動式與被動式ETF報酬表現與追蹤誤差之分析 趙佑霖; Chao, Yu-Lin
    2025 賭徒謬誤對台股投資者的績效影響 游懷賢; Yu, Huai-Shian
    2025 資訊透明化對房市的影響: 以台灣實價登錄1.0與2.0政策為例 何冠融; Ho, Kuan-Jung

    Showing items 1-25 of 2557. (103 Page(s) Totally)
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