099 / 1 |
Abnormal Stock Returns and Journalism’s Recommendations: Reexamining of Hybrid Grey-Market Model
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2011-06-09 |
099 / 1 |
Selecting the Portfolio Investment Strategy under Political Structure Change in the United States
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2011-06-09 |
100 / 1 |
Developed Stock market Reaction to Political Change: A Panel Data Analysis
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2012-10-23 |
100 / 1 |
Impact of Compositions and Characteristics of Board of Directors and Earnings Management on Fraud
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2012-10-23 |
101 / 1 |
Computing Regression Quantiles to Analysis the Relationship between Market Behavior and Political Risk
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2013-05-15 |
102 / 1 |
Estimation of the conditional value at risk of a minimum variance hedging portfolio via distribution kurtosis
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2014-07-16 |
103 / 1 |
臺灣職棒球隊補強策略之建構
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2015-03-13 |
103 / 1 |
Has CEPA Increased Stock Market Dependence between Hong Kong and China? The Application of Conditional Copula Technique
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2015-03-13 |
104 / 1 |
Backtesting VaR in consideration of the higher moments of the distribution for minimum-variance hedging portfolios
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2016-09-03 |
105 / 1 |
Asymmetric Dependence between Efficiency and Market Power in the Taiwanese Life Insurance Industry
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2017-05-18 |
106 / 1 |
Hedging effectiveness of the hedged portfolio: the expected utility maximization subject to the value-at risk approach
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2018-07-26 |
107 / 1 |
Impacts of Economic Integration on Stock Market Dependence without Jump Effects
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2019-02-20 |
108 / 1 |
Application of Grey Theory in the Construction of Impact Criteria and Prediction Model of Players’ Salary Structure
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2020-04-15 |