中國大陸公司治理與股票報酬之關係
碩士 === 國立政治大學 === 會計研究所 === 96 === This study investigates the relation between corporate governance and stock returns in China’s listed companies. Additionally, I apply four-factor model (Carhart 1997) to examine whether China’s corporate governance mechanisms are systematic risks in stock market....
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Format: | Others |
Language: | zh-TW |
Published: |
2008
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Online Access: | http://ndltd.ncl.edu.tw/handle/99710458727017197601 |