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題名:中國大陸轉型市場與日本第三次開國後市場的投資賽局均衡-
作者:張桓
書刊名:兩岸金融事務論述
頁次:57-71
出版日期:2011
出版項:臺北:新陸
主題關鍵詞:中國大陸日本投資賽局金融市場
學門:經濟學
資料類型:專書論文
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  • 點閱點閱:2
期刊論文
1.Harris, L.(1986)。A transaction data study of weekly and intraday pattern in stock returns。Journal of Financial Economics,16(1),99-117。  new window
2.Gervais, S.、Kaniel, R.、Mingelgrin, D. H.(2001)。The High-Volume Return Premium。The Journal of Finance,56(3),877-919。  new window
3.Bessembinder, Hendrik、Seguin, Paul J.(1992)。Futures-trading Activity and Stock Price Volatility。The Journal of Finance,47(5),2015-2034。  new window
4.Karpoff, Jonathan M.(1987)。The Relation between Price Changes and Trading Volume: A Survey。Journal of Financial and Quantitative Analysis,22(1),109-126。  new window
5.Ying, C. C.(1966)。Stock market prices and volumes of sales。Econometrica: Journal of the Econometric Society,34(3),676-685。  new window
6.Buchan, Nancy R.、Croson, Rachel T. A.、Solnick, Sara J.(2008)。Trust and Gender: An Examination of Behavior and Beliefs in the Investment Game。Journal of Economic Behavior and Organization,68(3/4),466-476。  new window
7.Shiller, Robert J.(1984)。Stock Prices and Social Dynamics。Brookings Papers on Economic Activity,2,457-510。  new window
8.Antoci, Angelo、Gay, Antonio、Landi, Massimiliano、Sacco, Pier Luigi(2008)。Global analysis of an expectations augmented evolutionary dynamics。Journal of Economic Dynamics & Control,32,3877-3984。  new window
9.Chiesa, Gabriella、Denicolò, Vincenzo(2009)。Trading with a common agent under complete information: A characterization of Nash equilibria。Journal of Economic Theory,144,296-311。  new window
10.O'Brien, Kevin(2008)。Reassessing China's Sovereign Risk: Emerging Global and Domestic Trends Threaten the 'Chinese Miracle'。Journal of Global Association of Risk Professionals。  new window
11.Hsua, Li-Chen、Yang, C. C.、Yang, Chun-Lei(2008)。Positive-versus zero-sum majoritarian ultimatum games: An experimental study。Journal of Economic Behavior & Organization,68,498-510。  new window
12.郭迺鋒、黃家怡、陳佩伶、林筱寧(20090300)。臺灣投資人『鴕鳥心態』之實證研究。貨幣觀測與信用評等,76,31-45。  延伸查詢new window
13.Daniel, Kent D.、Hirshleifer, David A.、Subrahmanyam, Avanidhar(1998)。Investor Psychology and Security Market under- and Overreactions。The Journal of Finance,53(6),1839-1885。  new window
學位論文
1.林智仁(1999)。價量關係與效率市場之研究(碩士論文)。國立成功大學。  延伸查詢new window
2.謝佳君(1999)。國內開放型股票共同基金投資人之行為研究(碩士論文)。國立臺灣大學。  延伸查詢new window
3.周雅莊(2008)。台美共同基金資本流動與股票報酬之關聯探討(碩士論文)。大葉大學。  延伸查詢new window
4.陳信豪(1997)。台灣股市交易量與報酬波動關係分析(碩士論文)。國立中正大學。  延伸查詢new window
圖書
1.林毅夫(2008)。中國經濟專題。北京大學出版社。  延伸查詢new window
2.McCain, Roger A.(2004)。Game Theory: A Non-Technical Introduction to the Analysis of Strategy。Thomson/South-Western。  new window
3.蔣殿春(2006)。高級微觀經濟學。北京大學出版社。  延伸查詢new window
4.野村總合研究所(2009)。2015日本大轉型。寶鼎出版社。  延伸查詢new window
5.Froehlich, Bob(2006)。Investment Megatrends。  new window
單篇論文
1.Karlsson, Niklas,Loewenstein, George,Seppi, Duane(2004)。The 'Ostrich effect': Selective Exposure to Information About Investments。  new window
 
 
 
 
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