2002-05 |
大陸金融制度與市場 |
朱浩民 |
book/chapter |
|
1975 |
財務管理 |
張春雄 |
book/chapter |
|
2000-03 |
衍生性金融商品 |
朱浩民 |
book/chapter |
|
1999-07 |
期貨與選擇權 |
朱浩民 |
book/chapter |
|
1998-07 |
金融期貨 |
朱浩民 |
book/chapter |
|
2000 |
Valuation of Cross-Currency Two-way Equity SWAPS without Currency Risks |
廖四郎、江怡蒨、胡聯國 |
book/chapter |
說明頁(1513) |
2010-03 |
Derivatives: options, futures, swaps, and risk management |
陳威光 |
book/chapter |
pdf(2399) |
2001-01 |
Options : theory practice and application |
陳威光 |
book/chapter |
|
2006 |
信用連結商品個案之分析與評價 |
陳松男 |
book/chapter |
pdf(1281) |
2010-08 |
選擇權:理論、實務與風險管理=Options: theory, practice, and risk management |
陳威光 |
book/chapter |
pdf(2032) |
2009.01 |
DO INDIVIDUAL INVESTORS REACT TO NON-INFORMATIVE EVENTS? |
林靖庭 |
book/chapter |
說明頁(1362) |
2010.09 |
選擇權-理論、實務與風險管理 |
陳威光 |
book/chapter |
說明頁(1082) |
2000 |
Equity-Style Classification and Investing Strategy: The Application of Artificial Neural Networks |
Shen, Chung-Hua、沈中華 |
book/chapter |
說明頁(891) |
2000 |
Financial Reform and Asian Turmoil: Taiwan`s Experience |
Yin, Norman、殷乃平 |
book/chapter |
說明頁(1007) |
2015-08 |
期貨與選擇權原則 |
陳威光 |
book/chapter |
說明頁(924) |
2010 |
Limited Information Estimation and Evaluation of Dynamic Macroeconomic Models |
趙世偉、Chao, Shih-Wei |
book/chapter |
說明頁(876) |
2010 |
我國金融控股公司整體經營績效評比 |
沈中華 |
book/chapter |
說明頁(716) |
2013 |
金融衍生工具 = Financial derivatives |
陳威光 |
book/chapter |
說明頁(586) |
1996 |
美式選擇權提早履約價值之研究 = A study of the value of early exercise in American option prices |
陳威光 |
book/chapter |
說明頁(609) |
2010 |
中國金融制度與市場 = China`s financial system and market |
朱浩民 |
book/chapter |
說明頁(702) |
2003 |
新金融商品個案集. I = Case studies in new financial instruments |
陳威光 |
book/chapter |
說明頁(694) |
2018-09 |
期貨與選擇權-金融創新個案 |
陳威光 |
book/chapter |
說明頁(486) |
2019-07 |
金融創新與商品個案 |
陳威光 |
book |
pdf(277) |