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自上個世紀末以來,全球信貸市場發展迅速,債券及其相關衍生性金融商品之交易量逐年提高,如何有效管理償債能力等信用風險因素也成為近年來實務界重要課題。本研究延伸文獻Chen, Liao et al. (…
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金融海嘯事件過後,全球進入低利率時代,臺灣實質利率更趨近於零,而臺灣之進出口貿易頻繁,企業面臨更多匯率上的風險,且銀行業不同於一般企業,有為客戶需求、自營、投機、避險目的而持有外匯部位,所承擔的匯率…
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本文使用滿足隨機優越特性之兩風險指標,HONG AND ZHAI(2010)提出之風險指標(HZ風險指標)與SCHNYTZER AND WESTREICH(2012)提出之風險指標(SW風險指標),…
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Anti-Money Laundering (AML) has rose in significance over the last two decades, mostly due to the h…
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The purpose of this study is to analyze the international expansion and business development of Fra…
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Reengineering is a popular and powerful tool for business development and reorganization. It has be…
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