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題名:公司基本要素可以解釋蜜月行情嗎?
書刊名:臺灣銀行季刊
作者:黃志典 引用關係簡亨容
出版日期:2000
卷期:51:2
頁次:頁255-294
主題關鍵詞:新上市公司蜜月行情
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(0) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:0
  • 共同引用共同引用:4
  • 點閱點閱:2
期刊論文
1.Reilly, Frank K.、Hatfield, Kenneth(1969)。Investors' Experience with New Stock Issues。Financial Analysts Journal,25(5),73-80。  new window
2.Stigler, George J.(1964)。Public Regulation of the Securities Markets。The Journal of Business,37(2),117-142。  new window
3.Downes, David H.、Heinkel, Robert(1982)。Signaling and the Valuation of Unseasoned New Issues。Journal of Finance,37(1),1-10。  new window
4.Grinblatt, M.、Hwang, C. Y.(1989)。Signaling and the pricing of unseasoned new issues。Journal of Finance,44(1),393-420。  new window
5.楊朝成、林容如(19931100)。規模效果、本益比效果與一月效應--臺灣股市之實證研究。社會科學論叢,41,161-184。  延伸查詢new window
6.Affleck-Graves, J.、Miller, R. E.(1989)。Regulatory and procedural effects on the underpricing of initial public offerings。Journal Financial Research,12(3),193-202。  new window
7.Jahnke, G.、Klaffke, S. J.、Oppenheimer, H. R.(1987)。Price-earnings Ratios and Security performance。Journal of Portfolio Management,14(1),39-46。  new window
8.Titman, S.、Trueman, B.(1986)。Information Quality and the Valuation of New Issues。Journal of Accounting and Economics,8,159-172。  new window
9.Ibbotson, Roger G.、Jaffe, Jeffrey F.(1975)。"Hot Issue" Markets。Journal of Finance,30(3),1027-1042。  new window
10.Logue. D.(1973)。On the pricing of unseasoned equity issues: 1965-1969。Journal of Financial and Quantitative Analysis,8,91-103。  new window
11.Aggarwal, R.、Rao, R. P.、Hiraki, T.(1990)。Regularities in Tokyo stock exchange security returns: P/E, size, and seasonal influences。Journal of Financial Research,13(3),249-263。  new window
12.Banz, Rolf W.(1981)。The Relationship Between Return and Market Value of Common Stocks。Journal of Financial Economics,9(1),3-18。  new window
13.Reinganum, Marc R.(1981)。Abnormal Returns in Small Firm Portfolios。Financial Analyst Journal,37(2),52-56。  new window
14.Rock, Kerin(1986)。Why New Issue are Underpriced。Journal of Financial Economics,15,187-212。  new window
15.Ritter, J.(1984)。The hot issues market of 1980。Journal of Business,57,215-241。  new window
16.Ibbotson, Roger G.(1975)。Price performance of common stock new issues。Journal of Financial Economics,2(3),235-272。  new window
17.康榮寶、陳文彬(19940100)。論新上市股票承銷價的制定。證券金融,40,1-16。  延伸查詢new window
18.Bower, N. L.(1989)。Firm Value and the Choice of Offering Methods in Initial Public Offerings。Journal of Finance,44,647-662。  new window
19.Chalk, Andrew J.、Peavy, John W.(1987)。Initial Public Offerings: Daily Returns, Offering Type and the Price Effect。Financial Analysts Journal,43,65-69。  new window
20.Clarkson, Peter M.、Thompson, Rex(1990)。Empirical Estimates of Beta When Investor Face Estimation Risk。Journal of Finance,45,431-453。  new window
21.Lam, Swee-Sum(1992)。Information Risk and Initial Public Offerings: An Empirical Investigation。Applied Financial Economics,21,93-98。  new window
22.Mauer, D. C.、Senbet, L. W.(1992)。The Effect of the Secondary Market on the Pricing of Initial Public Offerings: Theory and Evidence。Journal of Financial and Quantitative Analysis,27(1),55-79。  new window
23.McDonald, J.、Fisher, A. K.(1972)。New Issues Stock Prices Behavior。Journal of Finance,27,97-102。  new window
24.Tiniç, S. M.(1988)。Anatomy of Initial Public Offerings of Common Stock。Journal of Finance,43,789-822。  new window
25.Sharpe, William F.(1963)。A simplified model for portfolio analysis。Management Science,9(2),277-293。  new window
26.Leland, Hayne E.、Pyle, David H.、Brealey, Richard(1977)。Informational Asymmetries, Financial Structure, and Financial Intermediation。The Journal of Finance,32(2),371-387。  new window
27.Simunic, Dan A.(1984)。Auditing, Consulting, and Auditor Independence。Journal of Accounting Research,22(2),679-702。  new window
28.Baron, D. P.(1982)。A model of the demand for investment banking advising and distribution services for new issues。Journal of Finance,37(4),955-976。  new window
29.Welch, Ivo(1989)。Seasoned Offerings, Imitation Costs, and the Underpricing of Initial Public Offerings。Journal of Finance,44(2),421-449。  new window
30.Fama, Eugene F.、Fisher, Lawrence、Jensen, Michael C.、Roll, Richard J.(1969)。The adjustment of stock prices to new information。International Economic Review,10(1),1-21。  new window
31.Fama, Eugene F.(1970)。Efficient Capital Markets: A Review of Theory and Empirical Work。The Journal of Finance,25(2),383-417。  new window
32.Barry, Christopher B.、Brown, Stephen J.(1985)。Differential information and security market equilibrium。Journal of Financial and Quantitative Analysis,20(4),407-422。  new window
會議論文
1.Securities and Exchange Commision(1963)。Report of the Study of the Securities Markets of the SEC。88th Cong 1st Sess。  new window
2.劉亞秋、黃理哲、劉維琪(1994)。臺灣股市報酬率決定因素實證分析。證券暨金融市場之理論與食物研討會,32-45。  延伸查詢new window
學位論文
1.林玲羽(1993)。新上市公司異常報酬決定因素之實證研究(碩士論文)。國立政治大學。  延伸查詢new window
2.林博泰(1991)。股票新上市超額報酬持久性之研究(碩士論文)。國立台灣大學。  延伸查詢new window
3.許永聲(1989)。新上市股票異常價格績效之驗證與探討(碩士論文)。東海大學。  延伸查詢new window
4.李廣進(1980)。台灣地區新市市股票短期投資報酬率之研究(碩士論文)。國立臺灣大學。  延伸查詢new window
5.周士淵(1992)。我國新上市公司股票價格績效之研究(碩士論文)。淡江大學。  延伸查詢new window
6.洪日爛(1979)。台灣股票市場新上市股票投資報酬率與市場效率性之研究(碩士論文)。國立政治大學。  延伸查詢new window
7.許維真(1996)。何種益本比資料有助於選股?--臺灣股市橫斷面報酬率影響因素之研究(碩士論文)。國立臺灣大學。  延伸查詢new window
8.林秋炭(1991)。經濟因素、公司規模與股票報酬關係之研究(碩士論文)。東海大學。  延伸查詢new window
9.林季樑(1991)。基本分析的投資組合績效評估研究(碩士論文)。國立中山大學。  延伸查詢new window
10.胡玉雪(1994)。益本比、淨值/市價比及公司規模對股票報酬之影響:相似無關迴歸法之應用(碩士論文)。國立臺灣大學。  延伸查詢new window
11.陳秀亮(1987)。新上市股票價格之決定因素試析(碩士論文)。中央大學。  延伸查詢new window
12.柯百鈴(1989)。臺灣新上市股票短期報酬之探討(碩士論文)。政治大學。  延伸查詢new window
13.張慎(1994)。臺灣新上市股票超額報酬及其影響因素之實證研究(碩士論文)。國立政治大學。  延伸查詢new window
14.賈武健(1991)。新上市公司股阿票價值之評價模式研究(碩士論文)。國立臺灣大學。  延伸查詢new window
15.楊泓文(1987)。新上市股票報酬之研究(碩士論文)。國立交通大學。  延伸查詢new window
16.潘慈暉(1994)。新上市股票異常報酬及其影響因素之實証研究(碩士論文)。國立臺灣大學。  延伸查詢new window
17.羅贊興(1990)。我國新上市公司股票短期報酬率之研究(碩士論文)。淡江大學。  延伸查詢new window
18.謝繼茂(1979)。臺灣股票市場本益比與股票投資組合投資績效關係之研究(碩士論文)。臺灣大學。  延伸查詢new window
19.李春旺(1988)。股價行為與規模效應:台灣股票市場實證研究(博士論文)。國立政治大學。new window  延伸查詢new window
圖書
1.顏月珠(1985)。商用統計學。台北:三民書局。  延伸查詢new window
2.林煜宗(1988)。現代投資學制度、理論與實證。三民書局。  延伸查詢new window
 
 
 
 
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