Publications-專書/專書篇章

Showing 1-18 of 18
Date Title Type Full Text
2022-09 Alternative errors-in-variables models and their applications in finance research book/chapter 說明頁(66)
2022-08 Optimal payout ratio under uncertainty and the flexibility hypothesis: Theory and empirical evidence book/chapter 說明頁(60)
2020-09 Pricing fair deposit insurance: Structural model approach book/chapter 說明頁(65)
2020-09 The joint determinants of capital structure and stock rate of return: A LISREL model approach book/chapter 說明頁(42)
2020-09 Does revenue momentum drive or ride earnings or price momentum? book/chapter 說明頁(47)
2020-09 Technical, fundamental, and combined information for separating winners from losers book/chapter 說明頁(40)
2020-09 Optimal payout ratio under uncertainty and the flexibility hypothesis: Theory and empirical evidence book/chapter 說明頁(77)
2020-09 Sustainable growth rate, optimal growth rate, and optimal payout ratio: A joint optimization approach book/chapter 說明頁(43)
2019-06 Financial Econometrics, Mathematics and Statistics: Theory, Method and Application book pdf(170)
2014-04 Multi-factor, multi-indicator approach to asset pricing: Method and empirical evidence book/chapter 說明頁(1169)
2014-04 Optimal payout ratio under uncertainty and the flexibility hypothesis: Theory and empirical evidence book/chapter 說明頁(1172)
2014-04 Alternative equity valuation models book/chapter 說明頁(2016)
2014-04 Alternative methods for estimating firm’s growth rate book/chapter 說明頁(1859)
2014-04 Does revenue momentum drive or ride earnings or price momentum? book/chapter 說明頁(39)
2013-02 Alternative methods for estimating firm’s growth rate book/chapter 說明頁(2009)
2010-05 Derivation and application of greek letters: Review and integration book/chapter 說明頁(1129)
2010-05 Performance-measure approaches for selecting optimum portfolios book/chapter 說明頁(1182)
2010-05 Risk-aversion, capital asset allocation, and Markowitz portfolio-selection model book/chapter 說明頁(1058)
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