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    Showing items 31-40 of 192. (20 Page(s) Totally)
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    DateTitleAuthors
    2009 Portfolio Value-at-Risk Estimation with a Time-varying Copula Approach: An Illustration of Model Risk 陳怡璇; Chen, Yi-Hsuan
    2008 Re-investigating the International Financial Market Dependence: the Role of China 陳怡璇; Chen, Yi-Hsuan
    2011 Regime Dependent Information Contents of Model-Free Volatility: Evidence from the Eurodollar Options Markets 陳怡璇; Chen, Yi-Hsuan
    2005 Sticky Prices, Adjustment Costs, and Cost-reducing Uncertainty in the Presence of R&D Joint Ventures 李堯賢; Lee, Yao-Hsien
    2008 A Study of the Dynamic Lead-Lag Relationship of volatility between Crude Oil Futures and Stock Index 陳怡璇; Chen, Yi-Hsuan
    2013 Survey sentiment and option smile 陳怡璇; Chen, Yi-Hsuan
    2009 Trading volume and return volatility between informed and uninformed traders 陳怡璇; Chen, Yi-Hsuan
    2006 Variety-seeking Behavior and Pricing Strategy in Tourism Industry 李堯賢; Lee, Yao-Hsien
    2005 Why Do Initial Public Offerings Under-perform In The Long Horizon?“Earnings Management” Hypothesis Vs. “Investor Sentiment” Hypothesis 盧以誠; lu, Yiicheng
    2005 why do initial public offerongs underperform in the long horizon?Earnings Management&quot; Hypothesis versus&quot; Investor Sentiment&quot; Hypothesis 盧以誠; lu, Yiicheng

    Showing items 31-40 of 192. (20 Page(s) Totally)
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