Title: 分析債務結構,信用風險,及市場投資人行為之關聯性的理論量化模型
A Theoretical Framework for Quantitatively Analyzing Debt Structure, Credit Risks, and Market Participants’ Behaviors
Authors: 戴天時
Dai Tian-Shyr
國立交通大學資訊管理與財務金融學系
Issue Date: 2014
Gov't Doc #: MOST103-2410-H009-003-MY3
URI: http://hdl.handle.net/11536/98122
https://www.grb.gov.tw/search/planDetail?id=8316997&docId=440263
Appears in Collections:Research Plans