Default Probability and Stock Returns: An Empirical Study of Taiwan Stock Markets

碩士 === 國立雲林科技大學 === 財務金融系 === 105 === This study examines the relationship between default risk and stock returns. The determinants of stock returns have always been an important topic among various financial researches. Financial theorists generally believe that high-risk assets should associate...

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Bibliographic Details
Main Authors: CHEN, YAO-HUNG, 陳耀弘
Other Authors: HUANG, CHIN-SHENG
Format: Others
Language:zh-TW
Published: 2017
Online Access:http://ndltd.ncl.edu.tw/handle/ev6jyp