期刊論文

學年期 標題 Sdgs 更新時間
096 / 1 A comparison of usual indices and extended TOPSIS methods in mutual funds' performance evaluation 2015-03-25
085 / 2 An Improved Method of Predicting the Future: A Result on Improving the Stein-Rule Shrinkage Estimators of Regression Coefficients 2014-09-19
096 / 1 An Identity for the Skew-Normal Distribution 2010-06-16
094 / 1 A brief review of shrinkage estimation of a multivariate normal mean with extension to multiple linear regression 2016-11-14
096 / 2 Exact Test Critical Values for Correlation Testing with Application 2014-09-19
094 / 1 理想解類似度偏好順序評估方法之延伸及其應用 2014-09-19
093 / 2 平衡型共同基金績效評估與擇時能力研究 2010-06-16
093 / 2 公債發行概況與標售之實證分析 2010-06-16
094 / 2 宣告研擬股市退場機制對上櫃低價股報酬率影響之事件研究 2014-09-19
096 / 1 A revisit to the common mean problem: Comparing the maximum likelihood estimator with the Graybill–Deal estimator 2014-09-19
095 / 1 台灣地區銀髮族旅遊市場競爭策略形成之探討-以S公司為例 2010-06-16
095 / 1 大陸製罐業台商內部行銷及工作滿足與組織承諾關係之研究 2010-06-16
093 / 2 A Note on Robustness of Normal Variance Estimators Under t-Distributions 2014-09-19
094 / 1 On estimating control limits of X-bar chart when the number of subgroups is small 2017-03-08
096 / 1 Alternative estimation procedure in SPC when the process data are correlated 2014-09-19
097 / 2 Troubled Asset Relief Program, Bank Interest Margin and Default Risk in Equity Return: An Option-Pricing Model 2013-11-25
097 / 2 The Effects of Sunshine-Induced Mood on Bank lending Decisions and Default Risk: An Option-Pricing Model 2014-01-20
096 / 2 A Note on Improved Approximation of the Binomial Distribution by the Skew-normal Distribution 2014-09-19
097 / 2 Letter to the Editor 2014-09-23
099 / 1 On The Margin Effects Of Commercial Bank Expansion Into Securities And Insurance Activities Under The Same Roof: A Mathematical Swap Approach 2015-01-08
099 / 2 Testing the equality of several gamma means: a parametric bootstrap method with applications 2013-06-04
093 / 1 Loan portfolio swaps under capital regulation and deposit insurance: A bilateral pricing approach 2010-06-16
097 / 1 資產風險值估計方法之探討與比較 2010-06-16
098 / 2 Domestic open-end equity mutual fund performance evaluation using extended TOPSIS method with different distance approaches 2014-09-23
097 / 2 Comparing several population means: a parametric bootstrap method, and its comparison with usual ANOVA F test as well as ANOM 2024-03-22
098 / 1 Global Diversification,Hedging Diversification,and Default Risk in Bank Equity: An Option-Pricing Model 2013-11-04
095 / 1 A Computational Approach Test (CAT) for the Behrens-Fisher Problem 2016-11-15
087 / 1 Estimation of a Normal Variance: A Critical Review 2014-09-23
085 / 1 Estimators which are Uniformly better than the James-Stein Estimator 2014-09-22
097 / 1 Discussion on Skew-normal Approximation of a Binomial Distribution 2017-06-15
098 / 1 A Note On Skew-Normal Distribution Approximation To The Negative Binomal Distribution 2016-12-06
085 / 1 Applications of Improved Variance Estimators in a Multivariate Normal Mean Vector Estimation 2014-09-23
081 / 1 Improvements over the James-Stein Estimator: A Risk Analysis 2014-09-23
095 / 1 A Revisit on Approximation of the Binomial Distribution 2011-10-23
089 / 2 An Admissibility Result on Estimation of a Multivariate Normal Mean Vector 2017-06-14
096 / 2 SKEW-NORMAL APPROXIMATION TO THE NEGATIVE BINOMIAL DISTRIBUTION 2014-09-22
099 / 1 Modeling Bank Interest Margin and Loan Quality under the Troubled Asset Relief Program: An Option-Pricing Approach 2015-06-03
098 / 2 Modeling Put-Option Margin and Default Risk When Labor Has a Voice in Bank Governance Mechanism 2013-06-21
097 / 2 Rescue Plan, Bank Interest Margin and Future Promised Lending: An Option-pricing Model 2013-09-24
094 / 1 The impact of e-finance strategies on depository financial intermediary's value: an option-based optimization 2014-06-27
088 / 2 網路新世代網路行為之實證剖析--以中國工商專校企管科為例 2013-04-11
094 / 2 多目標決策在空氣污染評估之應用 2014-09-23
099 / 1 A Note on Comparing Several Poisson Means 2013-09-10
088 / 2 影響五專生擇業意向因子之實證剖析--以中國工商專校財稅科為例 2013-07-11
088 / 1 專科應屆畢業生的擇業意向-- 中國工商專校調查研究 2013-07-11
088 / 1 臺北市房屋價格影響變數之分析 2013-07-11
087 / 1 影響英文成績因素之實證研究 2013-07-11
101 / 2 Hypothesis testing on the common location parameter of several shifted exponential distributions: A note 2014-09-23
102 / 2 Bank Spread Behavior and Default Risk in Response to Capital Regulation in Merton, Black and Black-Merton Structural Frameworks 2014-09-15
100 / 1 A Note on Bank Interest Margin, Administrative Cost and Equity Risk in the Return to Retail Banking #08.尊嚴就業與經濟發展 #09.產業創新與基礎設施 2021-04-13
100 / 1 A note on selling distressed loans with bank bailouts: modeling of bank interest margins with default probabilities 2024-01-22
097 / 2 Comparing several population means: a parametric bootstrap method, and its comparison with usual ANOVA F test as well as ANOM 2024-03-22
098 / 1 Bank Interest Margins under Information Asymmetry and Centralized vs. Decentralized Loan Rate Decisions: A Two-Stage Option Pricing Model 2014-09-10
094 / 1 Comparison of Normal Variance Estimators under Multiple Criteria and Towards a Compromise Estimator 2014-09-10
105 / 1 Bank Lending with Capped Credit Risk, Hedging Efficiency, and Government Capital Injection 2024-03-01
106 / 1 A Revisit to Test the Equality of Variances of Several Populations 2018-08-07
106 / 2 How Does Distress Acquisition Incentivized by Government Purchases of Distressed Loans Affect Bank Default Risk? 2019-08-12
111 / 2 Insurer green finance under regulatory cap-and-trade mechanism associated with green/polluting production during a war #04.優質教育 2024-07-02
110 / 1 Guaranteed Rate-setting Behavior, Life Insurance Premium, and Policyholder Protection 2023-07-03
110 / 2 Shadow banking and life insurance policyholder protection 2023-07-04
109 / 1 Machine Learning Applications for Learning Early Warning System in Taiwan 2023-03-23
111 / 2 Insurer financing for borrowing producers in a supply chain under alternative carbon allowance trades 2024-07-30