Showing results 36 to 55 of 69
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Date | Title | Author(s) |
13-Nov-2014 | Risk-aversion, capital asset allocation, and Markowitz portfolio-selection model | 陳鴻毅; Cheng-Few Lee;Joseph Finnery;Hong-Yi Chen |
1-Jul-2022 | SASB準則下ESG重大性議題對股權資金成本之影響 | 張瑄圃; Chang, Hsuan-Pu |
1-Jul-2022 | SASB準則下ESG重大性議題與公司風險之關係 | 游珮姿; Yu, Pei-Tzu |
2-Aug-2023 | SASB準則下ESG重大性議題與財務績效之關係 | 許禾育; Hsu, Ho-Yu |
6-Jul-2023 | SASB準則下ESG重大性議題與高槓桿成本之關係 | 林亭淇; Lin, Ting-Chi |
2-Jun-2021 | Strategic mutual fund starts and fund performance | 陳鴻毅; Chen, Hong-Yi |
2-Jun-2021 | Strategic mutual fund starts and fund performance | 陳鴻毅; Chen, Hong-Yi |
2-Jun-2021 | Strategic mutual fund starts and fund performance | 陳鴻毅; Chen, Hong-Yi |
2-Jun-2021 | Strategic mutual fund starts and fund performance | 陳鴻毅; Chen, Hong-Yi |
8-Sep-2023 | Strategic mutual fund starts and the spillover effect | 陳鴻毅; Chen, Hong-Yi; Han, Jing;Lee, Cheng-Few |
22-Oct-2014 | Sustainable growth rate, optimal growth rate, and optimal payout ratio: A joint optimization approach | 陳鴻毅; Chen, Hong-Yi ;Gupta, Manak C. ;Lee, Alice C. ;Lee, Cheng-Few |
17-Jan-2017 | Technical, fundamental, and combined information for separating winners from losers | 陳鴻毅; Chen, Hong-Yi;Lee, Cheng-Few;Shih, Wei K. |
25-May-2021 | The joint determinants of capital structure and stock rate of return: A LISREL model approach | 陳鴻毅; Chen, Hong-Yi; Lee, Cheng Few; Tai, Tzu |
26-May-2022 | Time-dependent lottery preference and the cross-section of stock returns | 陳鴻毅; Chen, Hong-Yi; Lin, Chaonan;Ko, Kuan-Cheng;Yang, Nien-Tzu |
10-Aug-2017 | 低利率時代股票收益型與成長型基金流量及績效之研究 | 楊孟倫; Yang, Meng Lun |
20-Jul-2016 | 公司成長性對公司股利政策影響之研究 | 吳耿維; Wu, Geng Wei |
17-Jul-2017 | 公司現金持有對公司發行新股影響之研究 | 陳鴻毅 |
1-Jul-2022 | 共同基金同儕壓力對基金經理人撤換之影響 | 陳鈺中; Chen, Yu-Chung |
11-Jul-2017 | 共同基金投資者是否過早實現獲利? | 邱雯儀; Chiu, Wen-Yi |
3-Jul-2018 | 共同基金經理人撤換與積極管理關係之研究 | 伏家宜; Fu, Chia-Yi |