The Relationship Among Financial Risk and the Rate of Stock Return
碩士 === 國立屏東科技大學 === 財務金融研究所 === 94 === In recent years many listed companies became unlisted or suspension of transaction became of the financial crisis, and often caused the investors suffer the enormous losses. Thus more and more investors and the scholar begin to face up to the problems of corpor...
Main Authors: | Hung Ling-Chun, 洪菱駿 |
---|---|
Other Authors: | Ging-Ginq Pan |
Format: | Others |
Language: | zh-TW |
Published: |
2006
|
Online Access: | http://ndltd.ncl.edu.tw/handle/49835276663452170817 |
Similar Items
-
The relationship among the rate of return of stock market measures of risk and bank equity ratio
by: CHEN, MEI-LING, et al.
Published: (1992) -
The Relationship between Stock Returns and Inflation Rates--A Test of Risk Premium Hypothesis
by: Hung, Shan-Yuan, et al.
Published: (1996) -
Non-linear impact of operating risks on financial stock returns: The role of business climate indicators
by: WEN-LING CHANG, et al.
Published: (2018) -
Effect of Exchange Rate Fluctuations on the Stock Market Returns and Interest Rate
by: BA,CHIA-CHUN, et al.
Published: (2016) -
The Sensitivity of Financial Institution Stock Returns to Interest Rate and Exchange Rate, and Sensitivity of Financial Institution Stock Returns to Interest Rate and Exchange rate Conditional Variance.
by: Chiu Yun Chieh, et al.
Published: (2012)