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NTU Theses and Dissertations Repository
Browsing by Author 廖咸興(HSIEN-HSING LIAO)
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Showing results 1 to 20 of 64
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Publication Year
Title
Author(s)
Department
2020
ESG評比差異與資訊不完全
ESG Rating Difference and Information Incompleteness
Jing-Yi Chen; 陳璟宜
財務金融學研究所
2016
上下游同產業公司股價報酬衝擊對公司債利差之影響
Idiosyncratic Shocks of Peer Firms of Suppliers and Customers and Corporate Bond Yield Spreads
I-Hsuan Wu; 吳翊瑄
財務金融學研究所
2020
以層級分析法探討醫材產業跨境ERP 系統導入關鍵成功因素-以喬山為例
An AHP Approach to Explore Key Successful Factor of Cross-border ERP Implementation in Medical Equipment Industry - A Case Study of Johnson Company
Yi-Chang Liu; 劉易昌
生物科技管理碩士在職學位學程
2017
以故事三幕劇結構探討企業成長路徑
Exploring the Enterprise Growth Path by the Three-Act Structure
JUI-Jen Huang; 黃瑞仁
事業經營碩士在職學位學程
2017
以購併為企業成長策略-以友達光電為例
Take Mergers and Acquisitions as Growth Strategies of Corporates - Case Study of AU Optronics
Chien-Te Lee; 李建德
事業經營碩士在職學位學程
2011
企業信用風險與結構型模型之預測誤差探討:管理品質觀點
Corporate Credit Risk and Structural Credit Models:Management Quality Perspectives
Jhih-Hong Wang; 王秩鴻
財務金融學研究所
2005
企業危機預測---結合Logit模型與Merton模型
Corporate Failure Prediction:Combination of logit model and Merton model
Chia-Ling Chen; 陳嘉菱
財務金融學研究所
2018
企業的策略投資-- 以明基佳世達的轉型策略為例
Corporate strategic investment: the transformation of BenQ Qisda group Case Study
Yen-Shu Chang; 張彥姝
財務金融組
2013
企業管理品質、股東價值與董事會與少數股東間的代理問題
Management Quality, Shareholder Value and the Agency Problem between Boards and Minority Shareholders
Chia-Fang Lee; 李珈芳
財務金融學研究所
2010
供應鏈中資訊不對稱對公司債利差的影響
Information Asymmetry, Supply Chain Characteristics and Bond Yield Spreads
Yu-Ling Hsieh; 謝育玲
財務金融學研究所
2006
債權抵押受益憑證信用風險評估-整合內部價值法及傅立葉轉換法
Collateralized Bond Obligation Credit Risk Evaluation: An Integration of Intrinsic Valuation and Fourier Transform Method
Ming-Chung Tao; 陶明宗
財務金融學研究所
2018
公開收購變革後對利害關係人權益之探討
Impact on Stakeholders Post Reform of Public Takeover Regulations
Hsu-Ru Tsai; 蔡琇如
財務金融組
2007
利率變動型年金之資產負債管理
Asset and Liability Management for Floating-rate Annuity Considering Lapse Behavior
Wei-Ting Hsu; 徐蔚婷
財務金融學研究所
2007
動態違約門檻下之債券組合信用風險模型:現金流量基礎法
A Cash Flow Based Multi-Period Credit Portfolio Model with Dynamic Default Threshold
Yu-Hui Su; 蘇郁惠
財務金融學研究所
2015
匯率風險下跨國企業之避險、定價與競爭策略: 賽局理論之應用
Hedging, Pricing and Competition Strategies for Multinational Corporations under Exchange Rate Risk: From the Perspective of Game Theory
Chih-Hsiung Shyu; 徐智雄
國際企業管理組
2012
半導體零組件銷售人員之教育訓練與企業績效之相關性研究
Correlation Study of the Semiconductor Component Salespersons’ Education Training and Business Performance
Cheng-Che Kuo; 郭正哲
財務金融組
2018
台灣不動產證券化市場導入特殊目的公司機制之可行性研究
Feasibility Study on Introducing Special Purpose Company Mechanism into Real Estate Securitization Market in Taiwan
Tsung-Huang Chan; 詹宗煌
事業經營碩士在職學位學程
2017
台灣中古車產業發展與融資公司關係研究
The Relationship Research Between Taiwan Used Car Industry Development Trend and Car Financing Company.
Yuan-Lung Chieh; 闕源龍
事業經營碩士在職學位學程
2013
台灣債券ETF的發行與交易現況探討:以寶富盈ETF為例
Study of Bond ETF in Taiwan:The Case of Yuanta/P-shares Taiwan Government Bond ETF
Nan-Chieh Chiu; 邱南傑
財務金融學研究所
2015
台灣區域醫院中醫部門經營之發展策略--以某區域教學醫院中醫科為例
Development Strategy for Department of Chinese Medicine of a Regional Hospital in Taiwan -A Case Report
Wei-Ta Chen; 陳威達
財務金融組