國立高雄大學金融管理學系碩士班
Overview
Works: | 1 works in 170 publications in 2 languages |
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Titles
COVID-19首例確診宣告對台美兩地觀光相關類股的影響 = The impact of the announcement of the first confirmed case of COVID-19 on tourism-related stocks in Taiwan and in the United States
by:
國立高雄大學金融管理學系碩士班; 蔡柔穎
(Language materials, printed)
貿易不確定性與股票橫斷面報酬 = World trade uncertainty and the cross-section of returns
by:
國立高雄大學金融管理學系碩士班; 朱涵茹
(Language materials, printed)
經濟政策不確定性對房地產市場之影響 = The Impact of Economic Policy Uncertainty on Real Estate Market : 以亞洲經濟體為例; Evidence from Asian Economies
by:
國立高雄大學金融管理學系碩士班; 李政穎
(Language materials, printed)
訂價因子收益、投資人情緒與大盤之連動 = Returns of pricing factors, sentiment, and market state
by:
國立高雄大學金融管理學系碩士班; 王榮鴻
(Language materials, printed)
台灣股市之股價短期動能 = Price Momentum in Taiwan : 金融危機之影響; The Effect of 2008 Financial Crisis
by:
國立高雄大學金融管理學系碩士班; 林鈺姿
(Language materials, printed)
公司規模差異駕馭投資人的處分傾向嗎?美國股市的實證研究 = Do firm size differences drive investor's disposition tendency? Evidence from U.S.
by:
國立高雄大學金融管理學系碩士班; 葉思彤
(Language materials, printed)
審計委員會的設置是否會降低公司偏高的負債比率 = Does the existence of an audit committee lower the corporation's higher debt ratio?
by:
國立高雄大學金融管理學系碩士班; 歐德慧
(Language materials, printed)
股票特性、參考點與處分效果 = Stock Characteristics, Reference Points, and the Disposition Effect
by:
國立高雄大學金融管理學系碩士班; 甘雅如
(Language materials, printed)
ESG揭露與公司債發行之宣告效果 = ESG Disclosure and Announcement Effects of Corporate Bond Issuance
by:
國立高雄大學金融管理學系碩士班; 韓宜靜
(Language materials, printed)
審計委員會的設置是否會提升公司偏低的負債比率? = Does the establishment of an audit committee increase the firm's lower debt ratio?
by:
國立高雄大學金融管理學系碩士班; 趙承庭
(Language materials, printed)
疫情與房市的搜索效果 = Search Effects of Epidemic and Housing Market
by:
劉芸廷; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
不同類型投資人如何面對損失 = Is the snake bite effect or the break-even effect observed for investors with a capital loss? Evidence on the behavior of institutional and retail investors : 蛇咬或損益兩平效應?
by:
國立高雄大學金融管理學系碩士班; 曾育莛
(Language materials, printed)
總體經濟是否影響台灣本國商業銀行的資本緩衝與流動性? = Does Macroeconomy Affect Capital Buffers and Liquidity of Domestic Commercial Banks in Taiwan?
by:
國立高雄大學金融管理學系碩士班; 陳佑承
(Language materials, printed)
獨立董事與審計委員會對關鍵查核事項之影響 = The Effects of Independent Directors and Audit Committee on Key Audit Matters
by:
國立高雄大學金融管理學系碩士班; 蔡宛蓁
(Language materials, printed)
審計委員會設置後投資宣告對股價的影響 = The influences of investment announcements on stock prices after the establishment of an audit committee
by:
國立高雄大學金融管理學系碩士班; 徐翰承
(Language materials, printed)
實證台灣上市股票短期動能 = Testing price momentum of Taiwan listed-stocks : 應用Yang and Zhang (2019) 的方法; using the method of Yang and Zhang
by:
國立高雄大學金融管理學系碩士班; 林昀正
(Language materials, printed)
在開放與未開放交易期間之過去報酬對於未來報酬的影響 = Effect of past return during open and closed trading periods on future return
by:
國立高雄大學金融管理學系碩士班; 楊竣堯
(Language materials, printed)
企業社會責任對公司股東權益影響研究 = The Research of Corporate Social Responsibility on Shareholder Wealth
by:
國立高雄大學金融管理學系碩士班; 洪煜凱
(Language materials, printed)
股票特性如何影響投資人交易行為與心理偏誤? = How do stock characteristics influence investors' trading behavior and psychological pitfalls?
by:
國立高雄大學金融管理學系碩士班; 張穎之
(Language materials, printed)
銀行增加資本緩衝是否可以降低風險? = Can Banks Reduce Risk by Increasing Capital Buffers?
by:
國立高雄大學金融管理學系碩士班; 李承翰
(Language materials, printed)
公司治理對資產分割後經營績效的影響 = The influence of corporate governance on corporate performance following a spin-off of asset
by:
國立高雄大學金融管理學系碩士班; 黃彥中
(Language materials, printed)
台灣股市的泡沫指數與特異風險 = The Bubble Indicator and Idiosyncratic Risk in the Taiwan Stock Market
by:
國立高雄大學金融管理學系碩士班; 歐芝君
(Language materials, printed)
美國市場趨勢與投資人情緒對台灣股市從眾行為之研究 = The Impacts of USA Market Condition and Investor Sentiment on the Taiwan Stock Market Herding
by:
國立高雄大學金融管理學系碩士班; 林芳宇
(Language materials, printed)
新聞媒體的資訊內涵與橫斷面股價報酬 = The information content of media coverage and the cross-section of stock returns
by:
國立高雄大學金融管理學系碩士班; 林建良
(Language materials, printed)
美國市場趨勢與投資人情緒對兩岸三地股市動態從眾行為之研究 = The Influence of U.S. Market and Investor Sentiment on Dynamic Herding: Empirical Evidence from Greater China Stock Markets
by:
國立高雄大學金融管理學系碩士班; 郭玹妗
(Language materials, printed)
經理人異動與資本結構的改變 = The CEO turnover and a change in capital structure
by:
國立高雄大學金融管理學系碩士班; 謝秉翰
(Language materials, printed)
商譽減損之決定因素與市場反應 = The Determinants and Market Reaction of Goodwill Impairment
by:
國立高雄大學金融管理學系碩士班; 陳瑀君
(Language materials, printed)
外資券商發佈評等之可信度 = The Credibility of Rating Reports of Foreign Institutional Investors
by:
國立高雄大學金融管理學系碩士班; 許永銓
(Language materials, printed)
更換會計師事務所對公司經營績效的影響 = The impact of switching accounting firm on corporate performance
by:
國立高雄大學金融管理學系碩士班; 謝昇廷
(Language materials, printed)
經理人過度自信對會計穩健性的影響 = The Effect of CEO Overconfidence on Accounting Conservatism
by:
國立高雄大學金融管理學系碩士班; 曾筱晴
(Language materials, printed)
台灣上市櫃公司經理人過度自信與公司股利決策 = The Relationship Between Taiwanese CEO Overconfidence and Dividend Policy
by:
國立高雄大學金融管理學系碩士班; 歐守峰
(Language materials, printed)
女性真的比男性更風險趨避嗎?以國際學術論文為研究樣本 = Are women really more risk averse than men? Evidence from an extensive literature
by:
國立高雄大學金融管理學系碩士班; 葉家羽
(Language materials, printed)
漲跌幅績效與投資人心理偏誤 = Price limit performance and investor's psychological biases
by:
國立高雄大學金融管理學系碩士班; 李政毅
(Language materials, printed)
重大資本支出對分析師財務預測的影響 = The changes in analyst's financial forecast following firm's substantial capital expenditure
by:
國立高雄大學金融管理學系碩士班; 林虹君
(Language materials, printed)
外資券商評等之有效性及一致性 = The Validity and Consistency of Stock Recommendations of Foreign Security Firms
by:
劉依婷; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
企業績效與企業社會責任的因果關係 = Causality of Corporate Performance and Corporate Social Responsibility
by:
國立高雄大學金融管理學系碩士班; 林宜錚
(Language materials, printed)
金融海嘯後高階主管異動的股東財富效果 = The wealth effect of CEO turnover : Post-crisis evidence
by:
國立高雄大學金融管理學系碩士班; 李奕潤
(Language materials, printed)
備供出售證券在台灣的保險公司績效所扮演之角色 = The Role of Available-for-Sale Securities on the Performance of Insurance Companies in Taiwan
by:
國立高雄大學金融管理學系碩士班; 陳姿吟
(Language materials, printed)
網路搜尋行為與台灣房市間的關係 = The Relationship between the Searching Behavior on the Internet and the Housing Market in Taiwan
by:
國立高雄大學金融管理學系碩士班; 鄒冠英
(Language materials, printed)
重大資本支出對當年度股價報酬的影響 = The influences of a substantial capital expenditure on stock prices
by:
劉剛睿; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
依投資組合價值調整之簡單Delta避險策略 = A Simple Value-Based Delta-Hedging Strategy : 以台指選擇權為例; Taking TXO for Example
by:
國立高雄大學金融管理學系碩士班; 林冠穎
(Language materials, printed)
高交易量溢酬─台灣股票市場之實證 = The High─Volume Return Premium:Evidence from the Taiwan stock market
by:
于元豪; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
流動性風險與橫斷面股票預期報酬 = Liquidity Risk and the Cross-Section of Expected Stock Returns : 台灣股市之實證; Evidence from Taiwan
by:
國立高雄大學金融管理學系碩士班; 王義雄
(Language materials, printed)
擔保債權憑證的評價 = The Valuation of Collateralized Debt Obligation : 以玉山銀行發行之2005-1特殊目的信託債券資產證券為例; A Case Study for the Security of 2005-1 Collateralized Bond Obligation with Special Purpose Trust issued by E.Sun Bank
by:
國立高雄大學金融管理學系碩士班; 王盈翔
(Language materials, printed)
市場異常現象在台灣市場的預期報酬與顯著性分析 = The expected return and significance of the anomalies in the Taiwan market.
by:
國立高雄大學金融管理學系碩士班; 莊博文
(Language materials, printed)
聰明投資人是否真正聰明?臺灣共同基金市場實證 = Are smart investors really smart? Empirical evidence in Taiwan.
by:
國立高雄大學金融管理學系碩士班; 宋恩傑
(Language materials, printed)
房價與房租及總體經濟變數的關係 = Relationships among house prices, rents and macroeconomic variables
by:
國立高雄大學金融管理學系碩士班; 米志中
(Language materials, printed)
高風險股票的角色及美國股市投資人的從眾形成 = The role of the high-risk stocks and the herding formation of investors in US stock market
by:
國立高雄大學金融管理學系碩士班; 蘇芳君
(Language materials, printed)
善用行為偏誤 有助於股利決策的品質嗎? = Is Making Good Use of Behavioral Pitfalls Helpful for the Quality of Dividend Decisions?
by:
國立高雄大學金融管理學系碩士班; 王佳翎
(Language materials, printed)
交易機制影響的深入探討 = A Further Look at the Effect of Trading Mechanism : 報酬率、交易量、波動性和行為偏誤; Returns, Trading Volume, Volatility, and Behavioral Biases
by:
國立高雄大學金融管理學系碩士班; 李翔彥
(Language materials, printed)
土地交易資訊對相關股價與房價的影響 = Impacts of the information from land transactions on related stock prices and housing prices
by:
國立高雄大學金融管理學系碩士班; 張熒烽
(Language materials, printed)
探討不同景氣對公司價值評價之影響:利用實質選擇權 = Analysis of Firm Value Evaluation under Business Cycles: A Real Option Approach
by:
國立高雄大學金融管理學系碩士班; 鄭文皓
(Language materials, printed)
以備供出售證券作為盈餘管理方式對銀行資本適足與長期績效的影響 = The Impact of Using Available-for-Sale Securities as Earnings Management on Bank Capital Adequacy and Long-term Performance
by:
國立高雄大學金融管理學系碩士班; 曹雅涵
(Language materials, printed)
台灣可轉債套利績效之分析 = Analysis of the Arbitrage Performance for Convertible Bonds in Taiwan
by:
國立高雄大學金融管理學系碩士班; 林軒揚
(Language materials, printed)
依碰觸機率調整的delta避險 = Delta-hedging Strategy with Hitting Probability
by:
國立高雄大學金融管理學系碩士班; 江姿灃
(Language materials, printed)
威廉指標和股票橫斷面報酬:以台灣市場為例 = Williams Indicator and the Cross-section of Stock Returns in the Taiwan Market
by:
吳岳融; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
連續與不連續未預期盈餘對未來報酬的影響 = The Influence from Consecutive and Non-consecutive Unexpected Earnings on Future Returns
by:
劉育儒; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
多角化、公司治理與銀行績效 = Diversification, Corporate Governance and Bank Performance
by:
國立高雄大學金融管理學系碩士班; 李芳瑋
(Language materials, printed)
公司自願設置審計委員會及其品質之決定因素 = The Determinants of Voluntary Formation and Quality of Audit Committees
by:
周宸華; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
家族企業與租稅規避行為之研究 = Family Firms and Tax Avoidance
by:
國立高雄大學金融管理學系碩士班; 蔡鴻坤
(Language materials, printed)
成長機會與公司治理對負債比率降低後公司經營績效的影響 = The Influences of Growth Opportunities and Corporate Governance on Performances for TheFirms with a Substantial Decrease in Debt Ratio
by:
國立高雄大學金融管理學系碩士班; 陳怡龍
(Language materials, printed)
動能策略報酬、過度樂觀、過度自信與處份效果之關係:美國股市的實證研究 = The relationship among momentum strategy returns, excess optimism, overconfidence, and disposition effect:Evidence from the US stock market
by:
國立高雄大學金融管理學系碩士班; 張庭瑄
(Language materials, printed)
宗教信仰、賭博偏好與大盤波動率之影響 = Religious Beliefs, Ganbling Attitudes, and Market Volatility
by:
國立高雄大學金融管理學系碩士班; 許廷君
(Language materials, printed)
特殊隨機微分方程下之二項式模型收斂速度 = The Convergence Speed of Binomial Model under a Specific Stochastic Differential Equation
by:
國立高雄大學金融管理學系碩士班; 張吉富
(Language materials, printed)
政府持股、公司治理評鑑與公司績效關聯性之研究 = A Study of the Relationship among Government Ownership, Corporate Governance Evaluation and Firm Performance
by:
國立高雄大學金融管理學系碩士班; 王思閔
(Language materials, printed)
股權私募對分析師財務預測的影響 = The changes in analyst’s financial forecast following Firm’s private placement of equity
by:
吳彥辰; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
地區醫院營運績效評估:多角化或專業化 = Performance Evaluation of Local Community Hospitals:Diversification or Specialization
by:
國立高雄大學金融管理學系碩士班; 蕭靜憶
(Language materials, printed)
台灣廠商投資中國大陸地區與公司違約風險之關係 = A Study on Default Risk for Taiwanese Firms Making Investments in China
by:
國立高雄大學金融管理學系碩士班; 黃妍寧
(Language materials, printed)
資產減損宣告之市場反應 = Market Reactions to Asset Write-down Announcements
by:
國立高雄大學金融管理學系碩士班; 許碧宜
(Language materials, printed)
風險值估計:修正後的StressVaR模型 = Value-at-Risk Estimation : Modified StressVaR Approach
by:
侯雅文; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
台灣不動產市場價量關係研究 = The relationships between trading prices and volumes in the Taiwan housing markets
by:
國立高雄大學金融管理學系碩士班; 楊孟蓉
(Language materials, printed)
景氣循環下不動產抵押貸款保險之評價:房價指數之實證 = The Valuation of Mortgage Insurance Contracts under Business Cycles: Evidence from Housing Price Index
by:
國立高雄大學金融管理學系碩士班; 莊明哲
(Language materials, printed)
傳染與社區對從眾形成的影響 = The Effect of Contagion and Community on the Herding Formation
by:
國立高雄大學金融管理學系碩士班; 賴裕承
(Language materials, printed)
台灣房價的決定因素 = The determinates of house prices in Taiwan
by:
國立高雄大學金融管理學系碩士班; 林怡君
(Language materials, printed)
實證台灣股市影響股票購回比例之因素 = Testing the Determinants of Actual Share Repurchase in Taiwan
by:
國立高雄大學金融管理學系碩士班; 趙敏超
(Language materials, printed)
公司治理對於台灣樂透型股票的影響 = The Impact of Corporate Governance on Lottery-Type Stocks in Taiwan
by:
國立高雄大學金融管理學系碩士班; 曾郁翔
(Language materials, printed)
政府持股對投資現金流量敏感度之影響 = The Impact of Government Ownership on Investment-Cash Flow Sensitivity
by:
劉珈妘; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
股份控制權和盈餘分配權之分離與股票橫斷面報酬 = The Separation between Voting Right and Cash Flow Right and The Cross-Section of Stock Returns
by:
國立高雄大學金融管理學系碩士班; 簡汝穎
(Language materials, printed)
私房錢效果駕馭動能與價值策略的利潤嗎? = Does house money effect drive the profits of the momentum and value strategies?
by:
國立高雄大學金融管理學系碩士班; 林珮婷
(Language materials, printed)
不同資產的避風港特性研究 = The safe haven characteristics of the different assets
by:
國立高雄大學金融管理學系碩士班; 陳翰柏
(Language materials, printed)
亞洲國家間的貿易關係研究-VAR模型分析 = The Trading Relationships Between Asian Countries - Based on VAR Model Analysis
by:
國立高雄大學金融管理學系碩士班; 陳廷婕
(Language materials, printed)
台灣共同基金投資人之聰明錢效果 = The smart money effect in Taiwanese mutual funds
by:
國立高雄大學金融管理學系碩士班; 黃嬿云
(Language materials, printed)
投資人情緒、行為偏誤與股票報酬之關係:台灣對金融海嘯的反應 = A Further Look at the Interrelationship among Investors' Sentiments, Behavioral Pitfalls, and Stock Returns: Taiwan's Response to the Financial Tsunami
by:
國立高雄大學金融管理學系碩士班; 陳珊珊
(Language materials, printed)
新上市公司對報酬波動的影響 = The Effect of IPO Effect on the Return Volatility
by:
國立高雄大學金融管理學系碩士班; 陳皇順
(Language materials, printed)
盈餘預測與公司治理 = Earnings forecast and corporate governance
by:
國立高雄大學金融管理學系碩士班; 翁靜鈴
(Language materials, printed)
公司治理與財務預警模型 = Corporate Governance and Financial Distress Prediction Model
by:
國立高雄大學金融管理學系碩士班; 林珮阡
(Language materials, printed)
公司未預期盈餘和產業未預期盈餘之離差與股票定價 = Deviation between Individual Unexpected Earnings and Industry Unexpected Earnings and Equity Pricing : 心理偏誤或風險補償?; Psychological Biases or Risk Premium?
by:
國立高雄大學金融管理學系碩士班; 李冠樺
(Language materials, printed)
實證替換高階經理人之績效 = Testing the Performance of Replacing CEOs
by:
國立高雄大學金融管理學系碩士班; 李欣柔
(Language materials, printed)
家族企業、實質選擇權與投資政策 = Family Firm, Real Option, and Investment Policy
by:
國立高雄大學金融管理學系碩士班; 陳明裕
(Language materials, printed)
資產減損的訊息傳染效果 = The Contagion Effects of Asset Impairments
by:
國立高雄大學金融管理學系碩士班; 林嘉恩
(Language materials, printed)
高階經理人薪酬會影響公司績效? = Does CEO Pay Affect Firm Performance?
by:
國立高雄大學金融管理學系碩士班; 張奕祺
(Language materials, printed)
房市與股市之相關性探討 = A Study of the Relationship Between Housing Market and Stock Market
by:
國立高雄大學金融管理學系碩士班; 王玟婷
(Language materials, printed)
台灣股票型基金績效持續性之研究-馬可夫移轉機率矩陣之應用 = A Study on The Performance Persistent of Taiwan Equity Funds : The Application of A Markov Transition Probability Matrix
by:
國立高雄大學金融管理學系碩士班; 林金隆
(Language materials, printed)
總體經濟指標發布前的資訊交易行為 = Informed Trading Prior to the Announcements of Macroeconomic Indicators : 以台灣市場為例; Evidence from the Taiwan Stock Market
by:
國立高雄大學金融管理學系碩士班; 林聖凱
(Language materials, printed)
審計委員會設置對公司經營績效的影響 = The Influences of Audit Committee on Corporate Performance
by:
國立高雄大學金融管理學系碩士班; 李謹伃
(Language materials, printed)
台灣可轉債的轉換強度分配分析 = The Distribution Analysis of the Conversion Hazard Rate for Taiwanese Convertible Bonds
by:
國立高雄大學金融管理學系碩士班; 廖柏森
(Language materials, printed)
外資券商公開推薦評等之資訊價值 = The Information Content of Stock Recommendations of Foreign Security Firms
by:
國立高雄大學金融管理學系碩士班; 方建凱
(Language materials, printed)
台灣產業風險與中美政策風險之間的關係 = The Relationship between Industrial Risks in Taiwan and Policy Risks of China and the United States
by:
國立高雄大學金融管理學系碩士班; 宋依潔
(Language materials, printed)
住宅需求的價格、所得、利率彈性 = Price, Income and Interest Rate Elasticity of Demand for Housing
by:
國立高雄大學金融管理學系碩士班; 陳俊有
(Language materials, printed)
獨立董事聘任對資本結構的影響 = The effect of appointing independent directors on capital structure
by:
國立高雄大學金融管理學系碩士班; 李鋐毅
(Language materials, printed)
行為偏誤與社會責任投資相互關係之研究 = A Study On The Interrelationship Between Behavioral Biases And Socially Responsible Investment : 來自總體投資人的證據; Evidence From The Aggregate Investor
by:
國立高雄大學金融管理學系碩士班; 廖佳宏
(Language materials, printed)
在健全的公司治理下,銀行多角化是否能降低違約風險? = Does Diversified Bank with Sound Corporate Governance Decrease the Default Risk?:Evidence of Global Banks : 全球銀行實證
by:
國立高雄大學金融管理學系碩士班; 邵依婷
(Language materials, printed)
興櫃股票公允價值估價模型探討 = A Study on Fair Value Pricing Models of Emerging Stock
by:
國立高雄大學金融管理學系碩士班; 林玫均
(Language materials, printed)
審計委員會設置對股利政策的影響 = The Influences of Audit Committee on Dividend Policy
by:
國立高雄大學金融管理學系碩士班; 葉千華
(Language materials, printed)
由財報中的獲利面與現金流量檢視市場效率性 = Examining Market Efficiency Through Profitability and Cash Flow in Financial Reports
by:
國立高雄大學金融管理學系碩士班; 李佳樺
(Language materials, printed)
由財務資訊的合併檢視市場效率性 = Examining market efficiency through the combination of financial information
by:
國立高雄大學金融管理學系碩士班; 黃健瑋
(Language materials, printed)
實際購回股票的股價效應與宣告購回股票的股價效應有不同? = Is There A Differential Effect on Firm Value between Announced And Actual Stock Repurchases? : 以台灣市場為例; Evidence from Taiwan
by:
國立高雄大學金融管理學系碩士班; 陳宥麟
(Language materials, printed)
銀行收入來源的相關程度是否會影響績效? = Does the Correlation of Income Sources Matter to Bank Performance?
by:
國立高雄大學金融管理學系碩士班; 鍾明哲
(Language materials, printed)
投資人對於本益比之定錨效應 = Anchoring Effect of Earnings-to-Price Ratios in Taiwanese Market : 以台灣市場為例
by:
國立高雄大學金融管理學系碩士班; 紀怡禎
(Language materials, printed)
台灣股市現金減資之股價效應 = The Value Effects of Capital Reduction in Taiwan
by:
國立高雄大學金融管理學系碩士班; 趙玉萌
(Language materials, printed)
股市投資人的認知失調與媒體的角色 = Investors' cognitive dissonance in the stock market and the role of media
by:
國立高雄大學金融管理學系碩士班; 高珮珊
(Language materials, printed)
獨立董事辭職對公司經營績效的影響 = The effect of independent director's resignation on corporate performance
by:
國立高雄大學金融管理學系碩士班; 詹晉胤
(Language materials, printed)
是熱錢效應還是外匯暴險?台灣產業外匯暴險及其決定因子之研究 = Hot Money or Exchange Rate Exposure?The Analysis of Foreign Exchange Rate Exposure and its Determinants in Taiwan
by:
劉家和; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
投資用途現金增資對股價的影響 = The Influence of Seasoned Equity Offerings For Investment Purposes on Stock Price
by:
國立高雄大學金融管理學系碩士班; 張凱評
(Language materials, printed)
資產減損之認列與迴轉與盈餘品質關聯性之研究 = A Study of the Relationship between Asset Impairment Recognitions/Reversals and Earnings Quality:The Role of Corporate Governance : 論公司治理之角色
by:
國立高雄大學金融管理學系碩士班; 莊淑媛
(Language materials, printed)
台灣與新南向國家的股票現貨及期貨避險效果之研究 = Hedging Effectiveness of Stock Index and Stock Index Futures in Taiwan and the Countries in the New Southbound Policy
by:
吳婉瑜; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
台灣企業面臨不同的外匯曝險值時使用衍生性金融商品動機之研究 = A Study on The Motivation of Using Derivatives for Taiwanese Firms Facing Different Foreign Exchange Exposures
by:
國立高雄大學金融管理學系碩士班; 黃鈺庭
(Language materials, printed)
中國股票市場機構投資人之從眾行為與原因 = The characteristic of mutual fund herding in China stock market
by:
國立高雄大學金融管理學系碩士班; 楊朝安
(Language materials, printed)
資產減損宣告之傳染效果與競爭效果 = Intra-Industry Contagion and Competitive Effects of Asset Impairment Announcements
by:
國立高雄大學金融管理學系碩士班; 鄭曉汶
(Language materials, printed)
國際股市投資人從眾行為成因之再探討 = A further look at the reasons of the herding behavior of investors in the international stock markets
by:
國立高雄大學金融管理學系碩士班; 林士家
(Language materials, printed)
房市、股市與GDP之關係 = The relationship among real estate, stock, and GDP : 以亞洲五個經濟體為例; A study of five Asian economics
by:
吳抒憫; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
退休年齡與風險性資產關係之研究 = A Study on Relationship between Retirement Age and Risky Asset
by:
國立高雄大學金融管理學系碩士班; 陳俊宏
(Language materials, printed)
企業社會責任與公司績效之分析 = Corporate Social Responsibility and Financial Performance
by:
國立高雄大學金融管理學系碩士班; 江佳純
(Language materials, printed)
投資人情緒是否影響聰明錢效果台灣共同基金實證研究 = The influence of Investor Sentiment on Smart Money : Evidence From Taiwanese Mutual Fund
by:
國立高雄大學金融管理學系碩士班; 林書瑋
(Language materials, printed)
行為偏誤與社會責任投資相互關係之研究 = A study on the interrelationship between behavioral biases and socially responsible investment : 來自共同基金的證據; Evidence from the mutual funds
by:
國立高雄大學金融管理學系碩士班; 陳奕劭
(Language materials, printed)
投資用途現金增資對公司風險的影響 = The Influence of Seasoned Equity Offerings for Investment Purposes on Corporate Risk
by:
國立高雄大學金融管理學系碩士班; 王郁萱
(Language materials, printed)
以台灣投資人情緒建構投資策略是否可獲得超額報酬? = Can the investor in Taiwan obtain excess return based on investor sentiment?
by:
國立高雄大學金融管理學系碩士班; 曾子祐
(Language materials, printed)
外資券商推薦評等之股價效應 = The effect of the foreign brokerage recommendations
by:
國立高雄大學金融管理學系碩士班; 許仲緯
(Language materials, printed)
獲利效果規模與成因之探討 = The Magnitude and Rationale of The Profitability
by:
國立高雄大學金融管理學系碩士班; 陳長毅
(Language materials, printed)
利用微分量估計最小變異Delta之避險績效 = The effect of approaching minimum variance delta via differentials : 以台指選擇權為例; The case of TXO
by:
國立高雄大學金融管理學系碩士班; 張沁渝
(Language materials, printed)
公司碳排放與財務績效 = Corporate Carbon Emissions versus Financial Performance : 台灣公司實證研究; Empirical Study of Taiwan Corporations
by:
國立高雄大學金融管理學系碩士班; 沈維宣
(Language materials, printed)
董事會的成員組成與公司ESG揭露程度的關係 = The Relationship of the Components of the Board and the Disclosure of ESG
by:
國立高雄大學金融管理學系碩士班; 莊硯柔
(Language materials, printed)
金融海嘯是否影響台灣金融控股公司的匯率敏感度? = Does Financial Crisis Affect Exchange Rate Sensitivity of the Financial Holding Companies in Taiwan?
by:
國立高雄大學金融管理學系碩士班; 施俐安
(Language materials, printed)
以Delta與Gamma建立之停損策略 = The Stop-Loss Hedging Strategy with Delta and Gamma
by:
國立高雄大學金融管理學系碩士班; 賴以尊
(Language materials, printed)
金融風暴後家族企業經營者替換對公司績效的影響 = The Firm Performance of Family Firm CEO Turnover : Post-crisis Evidence
by:
國立高雄大學金融管理學系碩士班; 沈沅億
(Language materials, printed)
不同全球經濟指標對臺灣景氣的預測能力比較 = Comparison of the Forecasting Ability of Different Global Economic Indicators to Taiwan's Prosperity
by:
國立高雄大學金融管理學系碩士班; 陳聖穎
(Language materials, printed)
永續報告書揭露與公司債發行之相關性 = The relationship between ESG report disclosure and corporate bond issuance
by:
國立高雄大學金融管理學系碩士班; 李育僑
(Language materials, printed)
行為偏誤、內生價值與動能策略績效 = Behavioral Pitfalls, Intrinsic Value, and the Performance of Momentum Strategy
by:
國立高雄大學金融管理學系碩士班; 林徽君
(Language materials, printed)
新冠疫情期間經濟政策不確定性指數對加密貨幣報酬之影響 = The impact of economic policy uncertainty on cryptocurrencies during the COVID-19 pandemic
by:
國立高雄大學金融管理學系碩士班; 黃煜斌
(Language materials, printed)
投資人情緒如何影響台灣股市流動性? = How does investor sentiment affect Taiwan stock market liquidity?
by:
國立高雄大學金融管理學系碩士班; 曾聖恩
(Language materials, printed)
投資人情緒對臺灣股市投資人賭博偏好之影響 = Impact of investor sentiment on gambling preference of Taiwan stock market
by:
國立高雄大學金融管理學系碩士班; 林佳卉
(Language materials, printed)
經濟政策不確定性指數真的可以預測加密貨幣報酬及波動率嗎? = Can economic policy uncertainty really predict cryptocurrency returns and volatility?
by:
國立高雄大學金融管理學系碩士班; 黃日廷
(Language materials, printed)
公司走向永續發展會更好嗎?探討臺灣ESG概念股報酬表現 = Will It Be Better for Companies to Move Towards Sustainability? Analysis of ESG Stocks Performance in Taiwan
by:
國立高雄大學金融管理學系碩士班; 高宇彤
(Language materials, printed)
資產減損認列與迴轉對盈餘品質之影響 = The Effects of Impairment Recognitions and Reversals on Quality of Earnings
by:
吳靜宜; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
三因子模型於台灣股票市場之適用性分析 = The Applicability of Fama-French's Three-factor Model in Taiwan Equity Market
by:
國立高雄大學金融管理學系碩士班; 廖怡玲
(Language materials, printed)
資產減損認列與迴轉對盈餘品質之影響 = The Effects of Asset Impairments and Reversals on Quality of Earnings : 兼論審計委員會之角色; The Role of Audit Committee
by:
吳奕諴; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
高階經理人替換後是否會改變公司股利政策 = Whether the company's dividend policy will change after manager turnover
by:
國立高雄大學金融管理學系碩士班; 李哲葳
(Language materials, printed)
COVID-19與SARS對投資人決策的影響 = Investigating the effect of COVID-19 and SARS on the investor's decision-making
by:
國立高雄大學金融管理學系碩士班; 鄭淳云
(Language materials, printed)
審計委員會之設置是否能降低公司的總風險 = Does the establishment of an audit committee lower a firm's total risk?
by:
國立高雄大學金融管理學系碩士班; 林宋和
(Language materials, printed)
高階主管替換是否會改變公司投資決策 = Does CEO turnover change the company's investment decisions?
by:
國立高雄大學金融管理學系碩士班; 盧冠綸
(Language materials, printed)
不同的超額現金型態對於未來報酬之不對稱影響 = The asymmetric influence of various excess cash holdings on future returns
by:
國立高雄大學金融管理學系碩士班; 陳郁淇
(Language materials, printed)
外資評等的股價效應 = The Stock Price Effect of the Recommendations of ForeignInstitutional Investors
by:
國立高雄大學金融管理學系碩士班; 陳致維
(Language materials, printed)
外資評等與公司財務績效 = The Recommendations of Foreign Institutional Investors and Financial Performance
by:
國立高雄大學金融管理學系碩士班; 陳姵潔
(Language materials, printed)
台股指數期貨與現貨投資人行為偏誤之相互關係 = The Interrelationship of Investor's Behavioral Pitfalls between The TAIEX Futures and The TAIEX
by:
國立高雄大學金融管理學系碩士班; 莊家源
(Language materials, printed)
代理問題、公司治理與盈餘穩健性 = Agency Problems, Corporate Governance and Conservatism
by:
國立高雄大學金融管理學系碩士班; 陳美蓮
(Language materials, printed)
台灣中小型基金經理人之窗飾與從眾效應 = The Managers' Behavior of Window Dressing and Herding in Taiwanese Small and Median Funds
by:
國立高雄大學金融管理學系碩士班; 陳怡茹
(Language materials, printed)
投資人情緒是否影響 ETF 折溢價? = Does Investor Sentiment Affect ETF Premium/Discount?
by:
國立高雄大學金融管理學系碩士班; 陳彥錡
(Language materials, printed)
定期定額投資比例對於基金流量敏感度之影響 = The Effect of Dollar – Cost Averaging on the Sensitivity of Fund Flows
by:
國立高雄大學金融管理學系碩士班; 林蕙君
(Language materials, printed)
信用風險與債務能力對台灣企業資本結構之影響與研究 = The studies for the influences of credit risk and debt capacity on the capital structure theory for Taiwanese corporates
by:
國立高雄大學金融管理學系碩士班; 王韋淇
(Language materials, printed)
共同基金波動性與成立時間對於流量敏感度之削弱效果 = The dampening effects of volatility and age on fund flow sensitivity
by:
國立高雄大學金融管理學系碩士班; 黃永明
(Language materials, printed)
董監事股權質押與公司治理之研究 = Share Collateralization by Directors and Corporate Governance
by:
國立高雄大學金融管理學系碩士班; 陳烷鈺
(Language materials, printed)
銀行的流動性風險與績效之關係—跨國之實證分析 = Bank Liquidity Risk and Performance: A Cross-Country Analysis
by:
國立高雄大學金融管理學系碩士班; 葉顓儀
(Language materials, printed)
非系統性風險與橫斷面股價預期報酬--台灣股票市場之實證 = Idiosyncratic Volatility and the Cross Section of Expected Returns : Evidence from Taiwan
by:
呂耿光; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
考量系統風險下之信用評分模型–台灣股票市場為例 = Credit Scoring Model under Systematic Risks:Evidencefrom Taiwan Stock Market
by:
吳佳峰; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
台灣利率交換契約之定價 = The Valuation of Interest Rate Swap in Taiwanese Financial Market
by:
國立高雄大學金融管理學系碩士班; 楊晏慈
(Language materials, printed)
放空限制、市場微結構與行為偏誤 = Short-Sales Constraints, Market Microstructure, and Behavioral Pitfalls
by:
國立高雄大學金融管理學系碩士班; 江文杉
(Language materials, printed)
公司融資決策是否會因為高階經理人替換而改變 = Does Executives turnover change the company's financing decisions?
by:
國立高雄大學金融管理學系碩士班; 賴東裕
(Language materials, printed)
資產分割後的經營績效:公司治理的角色 = Corporate performance after spin-off :The role of corporate governance
by:
國立高雄大學金融管理學系碩士班; 邱俐錦
(Language materials, printed)
購併後的經營績效:成長機會與公司治理的影響 = Corporate Performance After Mergers:The Influence of Growth Opportunities and Corporate Governance
by:
吳國興; 國立高雄大學金融管理學系碩士班
(Language materials, printed)
短期偏低定價、長期績效不佳與心理偏誤:來自首次公開募股市場的證據 = Initial Underpricing, Long-Term Underperformance, and Psychological Pitfalls: Evidence from the IPO Market
by:
國立高雄大學金融管理學系碩士班; 賀依凡
(Language materials, printed)
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Subjects
corporate governance
代理問題
基金績效
共同基金
credit default
媒體曝光程度
從眾行為
Independent director
市場異常現象
Anomaly
Asset Impairments
Earnings-to-price ratios
CEO Overconfidence
financial forecast
事件研究法
聰明錢效果
Anomalies
動能策略
Corporate Governance
道瓊永續指數
Seasoned Equity Offerings
台灣選擇權波動率指數
資訊內涵
盈餘宣告後股價持續反應
基金績效持續性
代理理論
Countries in the New Southbound Policy
Financial holding company
Profitability effect
Stock Recommendation
Collateralized Debt Obligation
Basel III
Price Momentum
Price momentum
巴賽爾協議III
董事會結構
Executives turnover
Herding behavior
制約反應
盈餘預測
股票購回
Share repurchase
bubble indicator
股票特性
外匯暴險
市場異常
投資需求
Managerial Overconfidence
StressVaR模型
價量關係
Default Risk
Asset write-down
Momentum strategy returns
trading volume
Momentum strategy
三因子模型
Audit committees
規模效果
台灣銀行業
投資人情緒
現金減資
Treasury Stock
Government ownership
Options hedging
相互關係
Housing Price Index
世界貿易不確定性
疫情搜尋量指數
高階主管異動
高階經理人異動
Agency Problems
board structure
Growth opportunities
心理偏誤
Diversification
資產減損宣告
Housing price index
分割
Spin-offs
accounting firm
goodwill impairment
Fair value
convertible bond
Real option
Announcement effect
price-volume relationship
衍生性金融商品
Dow Jones Sustainability Index
Tax Avoidance
Taiwan banking industry
股利
trading mechanism
政府持股
漲跌幅限制
利率交換
投資人成熟度
Break-even effect
delta hedging
永續報告書
Housing market
Dampening effect
Financial System
Asset Impairment
股票推薦
可轉債
過度自信
資本支出
Gender difference
違約風險
股權私募
private placement of equity
Local Community Hospitals
動能策略報酬
geometric Brownian motion (GBM)
流動性風險
Derivatives
Capital expenditure
size effect
Idiosyncratic risk
Information leakage ahead of Announcement
aggregate investor
金融控股公司
economic policy uncertainty
The recommendations of foreign institutional investors
向量誤差修正模型
lottery-type stock
Interest Rate Swaps
情緒指數
Pandemic Search Volume Index
Independent Director
Underreaction
Components of the board
房市
公司特有風險
金融海嘯
earnings forecast
media coverage
Stock Recommendations
herding behavior
會計師事務所
商譽減損
行為財務學
本益比
性別差異
StressVaR model
Liquidity risk
股份控制權
貿易關係
風險性資產
risky asset
Volatility Index
常識理論
house price index
審計委員會
家族企業
特異風險
agency theory
Gambler fallacy
IAS 39
Investor sentiment
Mutual Funds
Growth Opportunities
投資評等
擔保債權憑證
price limit
COVID-19
Option Hedging
ESG揭露
capital structure theory
碳排放量
Dollar-Cost Averaging ratio
Behavioral Finance
成長機會
聰明錢效應
Smart Money Effect
經結人異動
房價指數
Stock Characteristics
China stocks
Asset Impairment Announcements
資產減損
企業社會責任
地區醫院
幾何布朗運動
the trading relationships
information leakage
gambling preferences
資訊提前洩漏
資本結構
交易機制
國際財務報導準擇第9號
Capital reduction
REITs
Government Ownership
選擇權避險
獲利效果
Vector Autoregression Models
巴塞爾協議III
價格動能
sentiment index
investment decisions
經理人替換
ESG
公司治理
固定效果
信用違約
Threshold Cointegration
股市泡沫
foreign exchange rate exposure
經理人過度自信
股票推薦評等
實質選擇權
交易量
Voting right
Risk-adjusted Return
the reason of turnover
Performance Persistant
Family firm
公司基本面因子
Company's fundamental factors
宗教信仰
Religious beliefs
賭徒謬誤
dividends
audit committee
delta避險
delta-hedging
interrelationship
動能效果
Momentum
Audit Committee
Economic policy uncertainty
ESG disclosure
ESG Report
stock market
Carbon Emissions
信用風險
基金經理人
Financial Tsunami
Management turnover
門檻共整合
多角化
獨立董事
Corporate Social Responsibility (CSR)
動態從眾行為
公允價值
investment demand
現金增資
Post-Earnings-Announcement Drift
樂透型股票
Capital Structure
租稅規避
總體投資人
新南向國家
經濟政策不確定性
外資評等
嚴重特殊傳染性肺炎
World Trade Uncertainty
資本結構理論
反應不足
股市
manager turnover