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20. | Zarowin, P.(1990)。Size, Seasonality and Stock Market Overreaction。Journal of Financial and Quantitative Analysis,25(1),113-126。 |
21. | Brunswik, E.(1943)。Organismic Achievement and Environmental Probability。Psychological Review,50(3),255-272。 |
22. | 劉玉珍、郭齡鞠(2003)。認知心理學在財務學術的應用。貨幣觀測與信用評等,42,2-14。 延伸查詢 |
23. | 劉玉珍、李怡宗、黃寶慧(20040400)。市場管理制度創新與行為財務學:資訊揭露制度設計的政策意涵。證券暨期貨月刊,22(4),4-14。 延伸查詢 |
24. | 郭敏華(20030300)。債信評等主觀評估內部一致性暨外部一致性之探討--以銀行及證券實務專家之差異分析為例。中山管理評論,11(1),177-197。 延伸查詢 |
25. | 吳啟銘(20020900)。臺灣股票市場的投資人行為與股價特性--行為財務學的論點與現象驗證。貨幣觀測與信用評等,37,14-18。 延伸查詢 |
26. | 拾已寰(19911000)。臺灣股票市場機構投資人與小額投資人投資策略差異性之研究。證券市場發展,12,65-90。 延伸查詢 |
圖書1. | 方哲夫(1999)。股市賺錢的投資戰略。台中市:寶川出版社。 延伸查詢 |
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4. | Hays, W. L.(1981)。Statistics。N.Y.:Holt, Rinehart and Winston。 |
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7. | Brunswik, E.(1956)。Perception and the Representative Design of Psychological Experiments。Berkeley:University of California Press。 |
8. | Nunnally, Jum C.(1967)。Psychometric Theory。McGraw-Hill。 |