photo
Name Kuo,Chau-jung
Title Professor
Research Interests Banking Theory, Econometrics, Financial economics
Office 4111
Phone 4819
Email cjkuo@cm.nsysu.edu.tw


Education 1960, Ph.D., Economics, National Chengchi University
Academic Services 2016-07-11 ~ 2018-06-30, Jih Lin Technology Co., Ltd., Director
2012-09-01 ~ 2015-09-30, Jih Lin Technology Co., Ltd., Director
2009-10-16 ~ 2012-06-18, Taiwan Business Bank, Representative director (Equity)
2007-01-01 ~ 2007-01-01, Higher Education Evaluation and Accreditation Council of Taiwan, Evaluation committee
2002-09-01 ~ 2008-01-01, 第一商業銀行,
2001-09-01 ~ 2004-01-01, 澎湖縣政府垃圾焚化廠BOT方案,
Category Year Title
Journal Article 2011 Kuo, CJ; Chen, CM; Sung, CH (2011). Evaluating guarantee fees for loans to small and medium-sized enterprises. SMALL BUSINESS ECONOMICS, 37, 205-218. (SSCI)
Journal Article 2010 Wang, MC; Zu, LP; Kuo, CJ (2010). Risk aversion, order strategy and price formation. APPLIED ECONOMICS, 627-640. (SSCI)
Journal Article 2009 林育志、郭照榮、徐守德、謝企榮 (2009)。多角化策略、匯率操控與外匯風險。財務金融學刊,17(3),31-59。(TSSCI)
Journal Article 2009 郭照榮、陳勤明、宋兆賢、賴麗華 (2009)。評估信用保證手續費的新思維:風險中立評價模型與保險精算原理的結合。臺大管理論叢,12(2),37-56。(TSSCI)
Journal Article 2008 Wang, MC; Zu, LP; Kuo, CJ (2008). The state of the electronic limit order book, order aggressiveness and price formation. ASIA-PACIFIC JOURNAL OF FINANCIAL STUDIES, 245-296. (SSCI)
Journal Article 2008 王明昌,朱榕屏 (2008). Order strategy of informed trader in an order-driven market. 財務金融學刊, 16(2), 127-173. (TSSCI)
Journal Article 2008 黃俊源、郭照榮、江彌修 (2008)。違約的代價:契約違約金存在之合理性。公平交易季刊,16(1),67-87。(TSSCI)
Journal Article 2008 林育志、郭照榮 (2008)。應用PDL模型探討匯率變動對公司價值關係。經濟與管理論叢,4(2)。(其他期刊)
Journal Article 2008 林育志、藍麗惠、郭照榮 (2008)。庫藏股宣告對股票持有者與債券持有者之財富互動變化。臺灣管理學刊,8(1),95-120。(其他期刊)
Journal Article 2007 Lin, L. and C. J. Kuo (2007). Stock Recommendations and Analyst Conflicts of Interest : Evidence from the Taiwan Stock Market. Web Journal of Chinese Management Review, 10(2), 1-24. (其他期刊)
Journal Article 2007 Lin, L, Chau-Jung Kuo, and So-De Shyu (2007). The Exchange Rate Exposure of Chinese and Taiwanese Multinational Corporations. Journal of American Academy of Business, Cambridge, 12(1), 173-179. (其他期刊)
Journal Article 2007 Lin, L, Chau-Jung Kuo, and So-De Shyu (2007). Test conflict of Interest in Analysts’ Recommendations from a New Perspective. Business Review, Cambridge, 7(2), 98-104. (其他期刊)
Journal Article 2006 郭照榮,呂素蓮 (2006). The default probability of bank loans in Taiwan: an empirical investigation by Markov chain model. Asia Pacific Management Review, 11(2), 111-122. (TSSCI)
Journal Article 2006 Lin, L., D. Shyu, and C. J. Kuo (2006). Firm’s Exchange Rate Exposure under Various Exchange Rate Regimes. Journal of Global Business Management, 2(3), 44-48. (其他期刊)
Journal Article 2006 Lin, L, Chau-Jung Kuo, So-De Shyu and Kuo-Jung Lee (2006). Theoretical Analysisi of the Exchange Rate Exposure. Journal of Global Business Management, 2(3), 196-206. (其他期刊)
Journal Article 2006 郭照榮,陳曉蓉,曾曉萍 (2006)。金融資訊科技對台灣銀行業成本效率影響之研究。金融風險管理季刊,2(1),29-58。(其他期刊)
Journal Article 2005 郭照榮,呂素蓮 (2005). Taiwan’s Financial Holding Companies: An Empirical Investigation Based on Markov Regime-switching Model
. Applied Economics, 593-605. (SSCI)
Journal Article 2002 郭照榮、陳曉蓉、曾曉萍 (2002)。台灣銀行業合併換股比率之研究。中山管理評論。(TSSCI)
Journal Article 2001 沈中華、郭照榮、陳曉蓉 (2001)。台灣銀行業的淨利息邊際決定因素。中國財務學刊,45-62。(TSSCI)
Conference Paper 2005 郭照榮,林育志 (2005). Information Content and Conflict of Interest in Analyst’s Recommendations : Evidence from the Taiwan Stock Market . International Conference on Comparative Management, .
Conference Paper 2005 郭照榮,李宜熹等 (2005). 銀行放款隱含違約機率與回復率之聯合估計 . 2005年總體經濟計量模型研討會, .
Conference Paper 2005 郭照榮,陳勤明 (2005). 銀行企業金融放款之信用風險實證研究 . 金融改革與發展研討會, .
Conference Paper 2005 郭照榮,林育志 (2005). 在第三國生產之跨國企業外匯曝險理論分析 . 2005年台灣財務金融學會年會論文研討會, .
Book and Chapter 2003

Kuo,Chau-jung (2003). 台灣中小企業金融. 南區中小企業研訓中心

Book and Chapter 2003

Kuo,Chau-jung (2003). 金融機構管理. 華泰書局

Book and Chapter 2001

Kuo,Chau-jung (2001). 當代計量經濟學. 三民書局

Book and Chapter 2001

Kuo,Chau-jung (2001). 新加坡銀行法. 行政院經建會經社法規

Book and Chapter 2001

Kuo,Chau-jung (2001). 台灣中小企金融. 南區中小企業研訓中心

Year Title
2012

01AM1082 Base1Ⅲ 對金融穩定及貨幣政策之影響. 中央銀行 (101040)

2011

銀行多重管制與風險基礎的存款準備制度之研究. MOST (NSC100-2410-H-110-026)

2010

信用保證放款承保風險之評估:以時間變異聯合估計模型及二項樹方法預估其代償金額. MOST (NSC99-2410-H-110-028-)

2008

企業整合信用風險之研究─結構式與縮減式信用評估模型之聯結. MOST (NSC97-2410-H-110-013-MY2)

2007

關於KMV信用風險評估模型的三個重要議題之研究. MOST (NSC96-2416-H-110-023)

2007

96A11391高雄港前鎮商港區土地開發計畫財務及效益分析(購案編號:96-W-085-B). 交通部高雄港務局 (96041)

2006

台灣中小企業信用保證業務違約機率與信用風險之評估:一個市場基礎的聯結模型分析法. MOST (NSC95-2416-H-110-022)

2006

中小企業信保基金主要保證業務違約機率與信用風險之評估. 財團法人中小企業信用保證基金 (95119)

2005

如何聯立估計銀行放款違約機率與回復率?. MOST (NSC94-2416-H-110-033)

2005

第一商業銀行「風控研訓計畫」. 第一商業銀行 (94006)

2004

如何量計銀行放款風險:風險中立機率測度的馬可夫模型之應用. MOST (NSC93-2416-H-110-035)

2004

台灣土地銀行推動民營化策略之研究. 台灣土地銀行股份有限公司 (93116)

2003

如何量計銀行放款違約機率:一個市場基礎模式的實證研究. MOST (NSC92-2416-H-110-027)

2003

高雄港第六貨櫃中心民間投資招商總顧問服務工作--財務部分. 宇泰工程顧問有限公司 (1341)

2002

金融控股公司可能有經營績效嗎?. MOST (NSC91-2416-H-110-029)

2002

補助國內大專校院購置SP COMPUSTAT. MOST (NSC91-2420-H-110-003-ED)

Year Semester Required / Selected Department Course Code Course
111 1 Selected Department of Finance FM703 FINANCIAL ECONOMICS (I)
110 2 Selected Department of Finance FM526 BANKING THEORY AND MANAGEMENT
110 1 Selected Department of Finance FM703 FINANCIAL ECONOMICS (I)
Year Name Degree Title
2018 Yi-Ling Hsu Master THE STUDY OF THE INFLUENCE OF USD EXCHANGE RATE AND CNY EXCHANGE RATE VARIATION ON TAIWAN EXPORT INDUSTRY
2018 Qiong-Ling Lu Master Research on the Impact of Executive Corruption on Enterprise Innovation and the Effect of Debt Governance
2018 Kuan-Ying Huang Master The Impact of RMB Exchange Rate Fluctuation on the Stock Prices of China, Hong Kong and Taiwan
2017 Chien-Lin Liu Master The Impact of the Macroeconomic Factors on the Mortgage Default Rate - An Empirical Study for Taiwan Case
2017 Yi-yan Lin Master Research and Comparison of Financial Supervision Cultures in Civil Law Countries
2017 CHANGSHUO LIN Master A Relationship Between Inventory Management and Firm Performance - An Empirical Study on Taiwan Manufacture Industry
2017 Chih-hsiang Yang Master The relationship between financial indicators and bank performance
2017 Jian-Hong Lai Master Relevance study of board characteristics, internal control weakness and business performance of banking in Taiwan
2017 Shu-ying Huang Master The Impact of the Inflation and the Other Factors on the Specific Stock Returns - An Empirical Study for Taiwan Case
2017 Jing-Wun Huang Master The Study of Relationship Between Stock Market and the Price of Petroleum: Evidences for China A-Share and Taiwan.
2016 I-chun Liao Master On the Risk-based Reserves System for the Banking Industry: Taiwan’s Case Studies
2016 Ya-Chen Chang Master Relationships Between Oil Price and Stock Market:An Empirical Study for The Taiwan’s Industry
2016 Yu-chieh Tzeng Master A Study of Foreign Exchange Reform Problems on Reminbi Internationalization- An Empirical Analysis of Two Dimensions Between US Dollar and SDR
2016 Chia-Ying Hung Master The Impact of Bank Characteristics on Returns and Risk:An Empirical Study of Taiwan Commercial Banks
2016 Liang-fu Chuang Master A Study on Day-trading of Taiwan Stock Market - the Policy Effectiveness And the Feasibility Analysis of Transaction Tax Deduction
2016 Wen-jie Huang Master The Study on Retirement of Financial Confidence, Financial Instrument Preference and Reasons for Selections - A Case Study of C Bank Wealth Customers
2015 Wei-Lin Liou Master A Study of the Spread on Forward Exchange Rate vs. Spot Exchange Rate: An Empirical Application of Lucas Consumption Model and Markov Regime Switcing Model
2015 Meng-Chen Chen Master How the Magnitude on Okun’s Law-An Empirical Studies for the Taiwan’s Case
2015 Ya-ping Chang Master Financial Innovations at Aging Society: A Study for the Reverse Mortgage Loan
2015 Ya-ching Lin Master The Influence of Population Aging on Economic Growth, Labor Market and Saving Behavior: Taiwan's Case Studies
2015 Kai-chin Wang Master The Effect of Stock Repurchase on Stock Returns and Corporate Performance
2015 Yi-Ching Kuo Master An Empirical Study of Two-Factor CAPM on Banks under Taiwan’s Financial Holding Companies – Application of Three-State Markov Regime Switching Model
2015 Kuan-Wen Chen Master A Study on Taiwan's Business Comprehensive Index - Application of TAIEX Early Warning
2014 Hsuan-Yi Fang Master The Factors of RMB Internationalization Analysis
2014 Min-Han Shih Master An Empirical Analysis of Bank’s Non-performing Loans in Taiwan
2014 Chen-i Tseng Master The Issues on the Strategy for the Land Bank of Taiwan's IPO
2014 Chia-jung Lin Master An Empirical Analysis of International Crude Oil Price Included in Business Cycle Indicator of Taiwan
2014 Cheng Cheng Master Issues of Shadow Banking in China-Size Estimation, Macro-economics Effect, and Supervision Recommendations
2014 Jou-Wen Chen Master An Empirical Study for the Credit Risk on the Taiwan’s Industries of Plastic and Chemical, Semiconductor and Financial Companies: An Application of the KMV Model
2014 Shih-hao Huang Master The Study between Corporate Social Responsibility and Credit Ratings in Taiwanese Finance and Insurance Industries
2014 Chia-ling Huang Master A Study of Empirical Equation for Financial Structure Applied in Wealth Management Development
2014 Wan-lun Huang Master The Issues on the Early Warning for the Financial Crisis:Taiwan’s Empirical Study
2013 高偉傑 Master 台灣抗循環資本緩衝機制之研究-利用Credit-to-GNPgap搭配綜合指標
2013 曾韋銘 Master BaselIII實施下本國銀行是否產生信用壓縮之問題?
2013 莊翌靖 Master 台灣抗循環資本緩衝機制之研究-利用Credit-to-GDPgap搭配本國銀行放款預期損失
2013 Pao-Yi Ho Master The Impact of RMB Offshore Market on RMB Internationalization and Empirical Analysis
2013 Wei-ming Tseng Master Could Implementing Basel III Cause a Credit Crunch in Taiwan’s banks?
2013 Shin-wei Lin Master The Study for the Exchange Rate Interactional Model between New Taiwan Dollar and Chinese Yuan
2013 Kuan-Ting Wang Ph.D A Study of the Exchange Rate Between New Taiwan Dollar and Chinese Yuan under the Cross-strait Currency Settlement Mechanism
2013 Yun-Ru Lu Master The Study of TWD/CNY Fluctuations Based on Monetary Model
2013 Yi-Ching Chuang Master On the Study for Taiwan’s Counter-Cyclical Capital Buffer-using Credit-to-GDP gap coupled with Expected Loss of Domestic Banks
2013 Wei-chieh Kao Master On the Study for Taiwan’s Counter-Cyclical Capital Buffer-using Credit-to-GNP gap coupled with Comprehensive Index
2012 柯丁福 Master BaselIII對我國銀行之量化衝擊研究及授信行為之影響
2012 He-Ming Tseng Master On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer
2012 Din-Fu Ke Master The Influence of Basel III on Taiwan's Bank Quantitative Impact Study and Credit Behavior
2012 Yi-Zhen Wang Master On the Relationships of Capital Adequacy to Liquidity and Countercyclical Buffer Capital Indicator on Banking Industry in Taiwan
2012 Chao-chun Hu Master On the Study for Taiwan's Business Comprehensive Index and Counter- Cyclical Capital Buffer
2011 Kung-yu Lin Master the study of Currency Problems about Dollars. New Taiwan Dollars and RMBs
2011 楊宗憲 Master 中國銀行業的風險行為探討-馬可夫狀態轉換模型的應用
2011 Zsung-Hsien Yang Master The Risk Behavior of China’s Bank: an Empirical Investigation Based on Markov Regime-switching Model
2011 Hsin-ping Wang Master How do Listed Companies’ Non-system Risk Influence the Credit Risk
2011 Yung-chieh Chen Master A Study of Risk-Based Bank Deposit Reserve System
2011 Kung-yu Lin Master the study of Currency Problems about Dollars. New Taiwan Dollars and RMBs
2010 Jian-syun Ho Master A Further Study of the Guaranteed Risk of SMEG
2010 Yueh-Min Lin Master A Study on Integrating Credit Risk Models via Service-Oriented Architecture
2010 Fan-Sheng Shen Master A Preliminary Study of Risk-Based Deposit Reserve System
2010 沈凡聖 風險基礎存款準備制度之研究-問題之初探
2010 何建勳 台灣信保基金保證風險之研究-問題之再探
2009 Kuang-erh Lai Ph.D Assessing the Risk of Credit Guaranteed Loans to SMEs:Based on the Probability of Default and Recovery Rate Calculated by a Joint Parameters Estimation Approach
2009 黃中堅 Ph.D 多國籍企業移轉定價的最佳模型---台灣的實證研究
2009 宋兆賢 Ph.D 納入風險值於BOT專案財務風險評估
2009 Yen-Lin Chuang Master Penetration business strategy for financial industry after cross-strait MOU – A case study of F bank, Taiwan.
2009 Jing-yi Chen Master The Credit Risk Model for SMEG: Based on Time Varying and Binomial Tree Approach
2009 陳靜怡 評估信保基金放款承保風險:以時間變異聯合估計模型及二項樹方法預估其代償金額
2009 Chao-Hsien Sung Ph.D Applying Value-at-Risk to Financial Risk Evaluation in BOT Projects
2009 Chung-jian Huang Ph.D The most effective multinational transfer pricing---the empirical study of Taiwan
2008 Pei-lun Sun Master Researching the relation betwen company size and credit risk in Taiwan stock market --- A further study of KMV model
2008 Chia-yin Lee Master A Study of the Relationship among Recovery Rate, Probability of Default, and Credit Rate
2008 Jung-juei Lee Ph.D On Delaying the Informed Trades
2008 lih-feng Lin Ph.D AN INVESTIGATION ON THE DYNAMIC CONDITIONAL CORRELATION MODELS FOR AN EMPIRICAL ESTIMATIONS OF THE TEMPORAL AGGREGATION AND ITS APPLICATION ON THE CREDITING POLICY
2008 李佳穎 Master 回復率、違約機率與信用評等間關係之研究-以上市企業有發行公司債者為研究對象
2008 Ping-Yun Hsieh Master Is Credit Rating Trustworthy?
2008 陳勤明 中小企業融資信用保證之風險評估與保證費率精算
2008 Chin-ming Chen Ph.D The Risk Evaluation of Credit Guarantee and Actuarial Guarantee Fee of Loans to SMEs
2007 Chun-hsien Wu Master none
2007 Tzu-ling Wu Master Analyzing credit risk in Taiwan business by applying KMV model with solvency capacity
2007 Lon-ping Zu Ph.D Informed Trading Timing and Market Behavior
2007 Wen-ting Lin Master Is Operational Capability a better modificatory indicator of KMV credit model in Taiwan’s security markets
2007 Shih-chuan Yang Master Exploring the definition of default point of KMV model by threshold regression
2007 Ming-Chang Wang Ph.D Order Strategy, Price Formation and Order Book Information in an Order-Driven Market
2007 張瓈文 Master 中小企業融資違約機率暨信用保證費率之評估--以台灣F銀行為例
2007 Yen-ping Wang Master A study of a role within internal control, internal review for accountants of R. O. C Military—A Case Study Based on One Unite
2007 王瑞銘 利用分量迴歸法探討KMV信用風險模型:違約點定義之檢討
2007 Jui-ming Wang Master The Analysis by Quantile regression- Redefinition of Default Point of the KMV Model
2007 張瓈文 中小企業融資違約機率暨信用保證費率之評估--以台灣 F 銀行為例
2007 Yuan-Hao Chaung Master The suitability to use KMV Model in the listed company in Taiwan-revision of default point
2007 Yueh-chuan Kuo Master An Empirical Study of the Probability of Default and Credit Risk on Credit Guarantee Loans
2007 Yueh-Ying Chen Master The analysis of the cost in defaulted loans’ ubrogation in Small and Medium Enterprise Credit Guarantee Fund
2007 黃俊源 Ph.D 交易契約中約定違約金存在之必要性–或有求償權分析法
2007 Chien-Feng Huang Master The impact of liquidity ability on the default risk of Taiwan's companies--Application of the Threshold Regression
2007 Li-wen Chang Master To Evaluate the SME's Default Probability and Credit Guarantee Schemes--The Case of F Bank in Taiwan
2007 Chun-Yuan Huang Ph.D The Key Role that Penalty Plays in Contracts – A Contingent Claim Analysis
2006 Pei-yu Yu Master To Evaluate the Small and Medium Enterprise Credit Guarantee Schemes--K Bank for Examples
2006 Tsui-Wen Liu Master none
2006 Yuan-Ching Hsiang Master Study of Real Estate Investment Trusts in Taiwan
2006 Su-yen Wu Master Study of internal control, internal review, internal auditing for government bureau, accountants.
2006 Mei-yen Wu Master New Basel II Accord SME credit guarantee with the potential for development for example M bank
2006 Hsiao-ping Tsen Ph.D Risk-Taking Evidence from The Insurance Industry—Panel Data Threshold Regression Model and Extreme Value Theory
2006 Hui-Ping Lee Master Company accounts receivable risk control and build on default account early warning model
2006 Yu-Chih Lin Ph.D Theoretical and Empirical Analysis of the Exchange Rate Exposure
2006 Wan-jung Wang Master Credit Risk Valuation:.A Research with the KMV model -EDF for Taiwan Electronic Companies
2006 Yi-Jia Lu Master Building A Credit Risk Model in the Business of SMEG - Measurement of Default Rate and Recovery Rate
2006 Hui-Chun Chiang Master none
2006 Fu-tai Hsu Master Measuring the Credit Risk of SMEs' Loans under Credit Guarantee
2005 I-Ting Ting Master Financial Decision-Making Models and Royalty Models for BOT Projects
2005 Yu-Huey Tsao Master none
2005 Trey Shin Master none
2005 Chang-chin LI Master An Simulative Study of Exchange Ratio Determination Model For the M&A in IC Packaging and Testing Industry
2005 Mei-hsiu Wang Master Financial Feasibility Analysis of BOT Special Project ─ Use Garden of Culture and Sports of Taipei (The Taipei Dome Complex of Song Shan Tobacco Factory) as a Study Case
2005 Ya-Hui Hsu Master M&A Exchange Ratio Discussion-The Passive Component Industry
2005 Che-hung Lai Master Risk Control of Credit Guarantee Institutions- An Analytic Model of Market-based and Actuarial Pricing
2005 Yi-ru Chen Master State-owned Banks’ Strategy Development and Organizational change after Privatization -- Case Study on Land Bank of Taiwan
2005 Ying-jen Chen Master The determinants of the banks’ lending decisions on the influence of the“Small and Medium Business Credit Guarantee Fund” mechanism
2005 HUANG YEU Master The risk management discussion of the credit fund of small and medium-sized enterprises of the Taiwan
2005 Yu-Chun Huang Master The Performance Measurement of the Financial Holding Company in Taiwan
2004 Chi-sung Lin Master none
2004 Chun-Wei Liu Master The Impact of Risk-Based Capital Regulation On NPL Ratio and Operating Performance
2004 Shin-Hwa Wu Master none
2004 Su-Lien Lu Ph.D Three Essays on the Approach for Financial Risk Management
2004 Ming-Yu Lin Master N/A
2004 Ya-lan Lin Master none
2004 Ching-fang Ou Master none
2004 Kwang Chung Master The Research on Credit Risk Premium and Default Rate of Banking's
2004 Chou-yueh Chin Master none
2004 Fang-mei Tsai Master none
2004 Kuang-chih Cheng Master none
2004 Jueifang Chen Master A Study on the Development Strategies of the Bank of Kaohsiung
2004 蘇朝山 Master 「財富管理業務」策略規劃之研究-以高雄銀行為例
2004 Flandy-C Su Master The strategy planning for the wealth management sector for the Bank of Kaohsiung.
2004 Chen Jing-Hsiang Master none
2003 Shun-li Yen Master none
2003 Ching-yu Chang Master none
2003 Hsin-lan Hsu Master none
2003 Tsung-Hsien Yang Master Bank Credit Risk Measurement --- Application and Empirical of Markov Model
2003 Ching-mei Wang Master The Mearsurement of Probability of Default of Mid and Long Term Bank Loans
2003 Li-Wen Hsu Master The Measurement of Exposure of Banks’Foreign Exchange Position and Research of Structure of Foreign Exchange Risk
2003 CHIEN-LIANG CHEN Master Probability of Default and Creidt Risk Management of Banks
2003 Ching-da Chen Master An Empirical Study on The Default Rate of Mid-term and Long-term Bank Loans-Taking Bank of Taiwan,Taishin Bank and Shanghai Bank for Examples
2003 Hsiao-Jung Chen Ph.D Banking Development in Taiwan:The Issues on the Structure Changes and Competition Challenge
2003 Po-hung Chen Master How to Gauge the Default Probability:An Empirical investigation of the Market-Based Approach to Bills Finacial Corporation's Loan Asset
2003 Liang-kuang Chen Master The Model of Credit Rating for Country Risk
2003 Yi-ching Huang Master Default probability estimation for financial institutions in evaluating building companies on security market
2003 Mei-chen Huang Master An Investigation of the Internal Rating-based Model under Basel II
2003 Chih-peng Huang Master NONE
2002 Chu-Fen Lin Master The Study of Labor Pension System and Annuity Insurance
2002 Shen-Jen Wang Master TFT-LCD Merger Simulation Modeling-- A Study of Between AUO & QDI
2002 蕭珍隆 Master 銀行授信信用風險溢酬之衡量
2002 Cheng-Hsiung Hsu Master none
2002 Ming-Yen Lai Master The analysis of the short term and long term regression model for the factors influence the new Taiwan dollar FX rate
2002 陳佳怡 Master 金融控股公司經營績效之探討-財務面因素評估研究
2002 黃良淳 Master 我國金融控股公司之購併績效探討
2002 陳世宏 Master 我國金融控股公司之競爭力分析
2002 李聿偉 Master 金融預警制度之研究
2002 黃墩富 Master 銀行教育訓練與經營績效關聯性之研究
2002 林志剛 Master 因應新巴塞爾資本協定及承擔信用風險所需最低資本之研究-以某一商業銀行為例
2002 杜敏瑛 Master 現金卡應收債權資產證券化之可行性研究
2002 陳慧 Master 金融資產證券化 不動產抵押貸款證券化實例與相關問題研究
2002 陳萬彬 Master 台灣創業投資事業投資決策與績效之研究-以C創業投資公司為例
2002 Tuan-Hsien Wen Master Connection among Long-Term Investment, Institutional Investors and Shareholding of the Boards and Directors - As Listing Companies in Taiwan
2002 Chen-Lung Hsiao Master none
2002 陳萬彬 台灣創業投資事業投資決策與績效之研究- 以C創業投資公司為例
2002 Yu-Wei Li Master Early Warning of Bank Failure
2002 Min-Ying Tu Master none
2002 Chih-Kang Lin Master Respond of The New Basel Capital Accord and undertake the research of the lowest capital that credit risk need---Take certain a commercial bank as an example
2002 Shi-Hong Chen Master Competitive analysis of financial holding companies
2002 Chia-Yi Chen Master Performance of Financial Holding Company from Finance Factor
2002 Hui Chen Master Asset securitization. Mortgage pass Through-Products,and Relative Problems
2002 WAN-PING CHEN Master A Study of Venture Capitals Investment Decision-Making and Performance in Taiwan:A Case of C Venture Capital
2002 Tun-Fu Huang Master A study on relativity between staff training and operation performance for banks
2002 Ling-Chun Huang Master A Study on the Performance of Merger and Acquisitions within Financial Holding Companies in Taiwan
2001 李孟萍 Master 我國銀行業盈餘管理及訊息效果之檢定
2001 余瓊珣 Master 台灣航空業合併換股比率之模擬研究
2001 Wen-hui Li Master none
2001 Yu-Ching Li Master none
2001 梁舒萍 Master 我國近期金融改革政策對銀行業財富與風險移轉效果影響之研究
2001 徐翠梅 Master 公司董監在企業監控問題的職務角色之研究
2001 李靜貞 Master 國內銀行現金卡競爭策略的探討
2001 汪毓屏 Master 銀行逾放發生與經理人盈餘管理之關聯性實證研究
2001 沈寧衛 Master 產業股價與報酬之研究--會計基礎評價模式之應用
2001 李文濤 Master 投資組合保險策略調整與配置之研究
2001 Chiou- Kuei Shen Master none
2001 陳怡芸 Master 我國金融控股公司資本適足性之評估
2001 邱怡仁 Master 我國銀行業進軍中國大陸之行銷策略研究-以S銀行為例
2001 趙永昱 Master 技術分析交易法則在股市擇時之實證研究
2001 陳勤明 Master 壽險商品利率風險之研究
2001 蔡豪雄 Master 銀行經理人是否操控逾放比率揭露問題之研究
2001 洪銘甫 Master 我國定期存款牌告利率與市場集中度間關係之 研究
2001 蔡明憲 Master 金融機構消費信用貸款授信評量模式
2001 郭貞伶 Master 金融控股公司經營績效評估之研究
2001 Tsai-Yuan Chen Master none
2001 Chung-Hsun Yu Master An Exchange Ratio Determination Model For Airline Mergers:Taiwan's Case Simulative Studies
2001 Tsui-Mei Hsu Master none
2001 Meng-Pin Lee Master none
2001 Wen-Tao Lee Master none
2001 Ching-Chen Lee Master none
2001 Shu-Ping Liang Master The effect of recent financial revolution on the profitability and risk of banks.
2001 Yu-Pin Wang Master Actual Research of the Relationship between the Cause of Non-Performing Loan and Managerial Behavior of Earnings Management
2001 Ning-Wei Shen Master none
2001 Ming-Fue Hung Master NONE
2001 Ming-Hsien Tsai Master none
2001 Hao-Hsiung Tsai Master none
2001 Yung-Yu Chao Master A Empirical Study on Stock Market Timing with Technical Trading rules
2001 Yi-Jen Chiou Master none
2001 Chen-Ling Kuo Master A study on the performance evaluation of financial holding company
2001 Chin-Ming Chen Master A Study on Interest Rate Risk of the Life Insurance Products
2001 Yi-Yun Chen Master none
2000 Hsiang-Li Liu Master The Prediction model on Coporate Financial distree from a point of bank Financing View
2000 Chin-Yu Lee Master none
2000 Chia-Jung Lin Master An Application and Analysis of A Credit Risk Model-Case studies for The Utilization of Long-Term Funding
2000 林育志 Master 轉換公司債發行動機之風險移轉與後門權益假說實證
2000 Chien-Chou Lin Master none
2000 Jih-Ti Chung Master none
2000 Shygh-Shyone Chen Master none
2000 Luke Lin Master none
1999 Zi-Jiun Lin Master An empirical study of banks' merger and acquisition
1999 Yu-Fen Chiu Master The impact on banks' portfolio under BIS amendment to the capital accord of 1996 and reserve requirement
1999 張清耀 Master 郵匯局資金運用之研究-兼論未來經營走向
1999 Annie Hwang Master none
1999 黃錦淞 Master 衍生性金融商品課稅問題研究-兼論期貨交易之課稅效果
1999 蕭文瑞 Master 教育訓練與壽險業經營發展關係之探討─以國泰人壽保險公司為例
1999 Shu-Yu Mou Master An empirical study of exchange rate in bank merge and acquisition
1999 NONE Master The study of the Post Office using of capital & the future out look .
1999 WEN-JUI HSIAO Master None
1999 Jin-Sung Huang Master NONE
Year Title Awarding Organization
Period Activity Description Role