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    1

    Solvency and Rating on Corporate Bond Yield Spreads
    • Graduate Institute of Finance /102/ Master
    • Author: Yu-chieh Wang Advisor:
    • Due to the rapid development of global credit markets, trading volume of bonds and derivatives have…
    • Clicks: 557Downloads: 2
    • Full text public date 2019/07/25 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    2

    Empirical Study of Riskiness Index – Using Corporate Bonds of Listed Companies in the United States
    • Graduate Institute of Finance /100/ Master
    • Author: Ming-Feng Hsieh Advisor:
    • Since the financial tsunami happened in 2008, risk management has become one important issue in fin…
    • Clicks: 690Downloads: 2
    • Full text public date 2017/06/13 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    3

    A Study on the Risk in Taiwan Stock Market-The Application of Aumann and Serrano Index and Hong and Zhai Index
    • Graduate Institute of Finance /100/ Master
    • Author: Pei-Chun Chen Advisor:
    • This study adoptstwo risk indices that satisfies stochastic dominance. One was demondtrated by Auma…
    • Clicks: 451Downloads: 5
    • Full text public date 2017/06/27 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    4

    Empirical Study on the Index of Strong Buy-Using Financial industry in Taiwan as An Example
    • Graduate Institute of Finance /102/ Master
    • Author: Po-Tsung Chen Advisor:
    • Over the past ten years, with the vigorous development and diversified financial market, people enj…
    • Clicks: 580Downloads: 0
    • Full text public date 2019/07/02 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    5

    The Effect of Climate Variability on Taiwan Stock Market
    • Graduate Institute of Finance /100/ Master
    • Author: Jing-Yuan Chen Advisor:
    • Efficient Market Hypothesis is the basic of traditional finance; however, the existence of market a…
    • Clicks: 444Downloads: 10

    6

    Searching good news for most decision makers.
    • Graduate Institute of Finance /101/ Master
    • Author: Chia-Hsin Lee Advisor:
    • Generally, we assume public to be risk averse. Thus, we can make a lot of inferences, by using this…
    • Clicks: 358Downloads: 2

    7

    Interest Rate and Bank Foreign Exchange Risk-taking
    • Graduate Institute of Finance /102/ Master
    • Author: Jui-shiung Chung Advisor:
    • After financial crisis, whole world enter a low interest-rate environment. And the spread between d…
    • Clicks: 640Downloads: 1
    • Full text public date 2019/07/14 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    8

    Empirical Study on the Index of Strong Buy-Using Fourteen Financial Holding Companies in Taiwan as An Example
    • Graduate Institute of Finance /101/ Master
    • Author: Ying-Ya Chen Advisor:
    • Through the global financial meltdown, the shareholders and business managements came to emphasize …
    • Clicks: 604Downloads: 12

    9

    A Study on the Risk in Taiwan Insurance Market-The Application of Hong and Zhai Index and Schnytzer and Westreich Index
    • Graduate Institute of Finance /102/ Master
    • Author: Yao-yi Hsu Advisor:
    • In this article, there are two risk indices, which are proposed by Hong and Zhai in 2010 (HZ index)…
    • Clicks: 510Downloads: 0
    • Full text public date 2019/07/21 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)

    10

    The Effects of Interest Rates toward Credit Risk-Taking of Banks
    • Graduate Institute of Finance /103/ Master
    • Author: Meng-Hsun Chang Advisor:
    • Whether the credit risk-taking of banks is affected by the low-interest rate in recent years in Tai…
    • Clicks: 956Downloads: 6
    • Full text public date 2020/01/22 (Intranet public)
    • Full text public date This full text is not authorized to be published. (Internet public)
    • Full text public date This full text is not authorized to be published. (National library)