| 275 |
103-1
|
研究獎勵
|
Assessing bank equity risk under Legacy Loan Program
|
| 276 |
103-1
|
研究獎勵
|
A realized capped call option framework for loan-risk sensitive insurance premium valuation
|
| 277 |
87-1
|
專書單篇
|
未來學的弔詭思考方式-創造弔詭、創造未來
|
| 278 |
101-1
|
期刊論文
|
Option-Based Modelling of Technology Choices and Bank Performance
|
| 279 |
103-2
|
教學計畫表
|
共同商管碩專:領導與團隊 TGLXJ0M2074 0C
|
| 280 |
103-2
|
教學計畫表
|
國企一碩士班:國際投資 TLFXM1B0591 0A
|
| 281 |
97-2
|
期刊論文
|
Exchange Rate Homeward Exposure and Lending Competitive Behavior: An Operation Management Approach
|
| 282 |
97-1
|
期刊論文
|
Financial Claim and Product Market Competition : An Explanation for Permitting Banks to Hold Equity in Firms
|
| 283 |
99-1
|
期刊論文
|
Bank liquidity providing in a real synergy management under a cap-based valuation
|
| 284 |
103-1
|
論文指導
|
國行二碩專班 廖琬萍
|
| 285 |
103-1
|
論文指導
|
國企二碩士班 范振洋
|
| 286 |
103-1
|
論文指導
|
國企二碩士班 林佳蓁
|
| 287 |
103-1
|
論文指導
|
國企二碩專班 吳志峰
|
| 288 |
103-1
|
論文指導
|
國企二碩專班 鍾恩讚
|
| 289 |
103-1
|
論文指導
|
國企二碩專班 詹立全
|
| 290 |
103-1
|
論文指導
|
國企二碩士班 葛培勤
|
| 291 |
103-1
|
論文指導
|
國企二碩專班 林繼業
|
| 292 |
103-1
|
論文指導
|
國企二碩專班 周憶萱
|
| 293 |
103-1
|
論文指導
|
國企二碩士班 黃玫樺
|
| 294 |
103-1
|
論文指導
|
國企二碩專班 劉展村
|
| 295 |
103-1
|
論文指導
|
國企二碩專班 鄭秀芳
|
| 296 |
103-1
|
論文指導
|
國企二碩專班 李 莉
|
| 297 |
87-2
|
會議論文
|
Financial contracts and regime switching in business cycles
|
| 298 |
98-2
|
期刊論文
|
Domestic open-end equity mutual fund performance evaluation using extended TOPSIS method with different distance approaches
|
| 299 |
85-2
|
期刊論文
|
An Improved Method of Predicting the Future: A Result on Improving the Stein-Rule Shrinkage Estimators of Regression Coefficients
|
| 300 |
102-2
|
期刊論文
|
Assessing bank equity risk under Legacy Loan Program
|
| 271 |
99-1
|
期刊論文
|
Modeling Bank Interest Margin and Loan Quality under the Troubled Asset Relief Program: An Option-Pricing Approach
|
| 272 |
101-2
|
期刊論文
|
A barrier option framework for bank interest margin management under anticipatory regret aversion
|
| 273 |
93-1
|
期刊論文
|
Optimal bank loan rate and default risk in equity return under capital regulation and deposit insurance
|
| 274 |
103-1
|
研究獎勵
|
A barrier option framework for bank interest margin management under anticipatory regret aversion
|