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    Showing items 631-640 of 1912. (192 Page(s) Totally)
    << < 59 60 61 62 63 64 65 66 67 68 > >>
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    DateTitleAuthors
    2013 內生性長期風險與最適貨幣政策 趙世偉
    2013 狀態轉換下之外匯利差交易最適投資組合分配 林建秀
    2013 模型不確定性下信用投資組合之風險度量、控管、及其避險成效分析 江彌修
    2013 期貨市場投資者羊群效應和學習過程之分析 林靖庭
    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
    2013 考量流動性風險下巨災債券與颶風衍生性商品之評價、實證與風險管理 林士貴
    2013 碩士班-金融所 102年 金融所
    2013 金融衍生工具 = Financial derivatives 陳威光
    2013 多變量複合卜瓦松跳躍擴散模型與高頻資料下之選擇權評價與投資組合策略之研究 廖四郎
    2012-12 The Pricing, Credit Risk Decomposition and Hedging Analysis of CPDOs under the Levy Jump-Diffusion Model 江彌修; Chiang,Mi-Hsiu

    Showing items 631-640 of 1912. (192 Page(s) Totally)
    << < 59 60 61 62 63 64 65 66 67 68 > >>
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