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1“... has tested for evidence of a nonlinear relationship between stock market returns and financial...”
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2“...碩士 === 中原大學 === 國際貿易研究所 === 96 === Because financial markets become more and more complex...”
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3“... on the three-factor model proposed by Fama-French (1993) (market factor, size factor, and book /market factor...”
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4“... autoregression model (PST-VAR model) and uses the constructed financial technology index (FinTech index...”
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5“...博士 === 中原大學 === 商學博士學位學程 === 106 === Abstract The operating performance of financial holding...”
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6“... market and housing market, also as a reference for financial industry to adjust the conditions...”
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7“...碩士 === 中原大學 === 國際經營與貿易研究所 === 100 === Since the financial turmoil in 2008, most governments all...”
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8“... for the investors in the stock markets and the authority of financial markets. The empirical results can...”
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9“... influence the returns and risks in Taiwan’s financial markets. Therefore, this research attempts to adopt...”
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10“.... Transposing the notion of Fisher hypothesis to other financial assets imply that the nominal returns of assets...”
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11“... and for the authority of financial markets to make or revise relative policies for stabilizing stock market...”
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12“...碩士 === 中原大學 === 國際貿易研究所 === 99 === If we consider the trading costs between futures and spot market...”
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13“... on stock returns is insignificant, indicating that the use of financial leverage has no significant effect...”
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14“... is an extremely complex problem. In face of the uncertainty in international financial markets, foreign exchange...”
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15“... financial holding companies listed on Taiwan stock market between 2008:Q2 and 2017:Q3. The empirical results...”
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16“... in the third quarter of 2007 and the global financial crisis occurred from 2007 to 2008. Global non-financial...”
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17by Yun-Chung Tseng, 曾韻中“... on the financial environment, enterprises are facing more uncertain factors and also abiding by much more risks...”
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18“... as measuring the stability of financial markets. This thesis rewrites the Ohlson (1995) equity valuation model...”
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19“..., high-low debt samples, and high-low risk samples, the empirical result shows that market interest rate...”
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20“..., the highest market share of real estate loans in the country, as an example. Based on the New Zealand...”
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