Languages
Lu, Jin-Ray
Overview
Works: | 1 works in 12 publications in 1 languages |
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Titles
基金流量風險與投資人決策 = = Mutual fund's flow risk and investor's decision /
by:
張雅淳; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
市場風險與選擇權定價 = = Market risk and option pricing /
by:
呂進瑞; Lu, Jin-Ray; 蘇品嘉
(Language materials, printed)
負債比率的理論價值 = = Theoretical value of debt ratio /
by:
呂進瑞; Lu, Jin-Ray; 曾嘉俊
(Language materials, printed)
景氣循環下投資人的最適資產分配 = = Optimal asset allocations under business cycles /
by:
吳昌叡; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
新聞、眼動追蹤與定錨效應 = = News, Eye-Tracking, and Anchoring Effect. /
by:
廖于姍; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
股東權益報酬率的公平水準 = = Fair levels of returns on equity /
by:
戴學宏; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
基金經理人能力與採購經理指數 = = Fund managers' ability and purchasing managers' index /
by:
陳庭羽; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
Valuation and risk management of long call condor strategy /
by:
呂進瑞; Lu, Jin-Ray; MOTSA ZANDILE TEMA
(Language materials, printed)
經理股票選擇的激勵效果持續性 = = A persistence of incentive effect for executive stock options /
by:
呂進瑞; Lu, Jin-Ray; 藍蔚葶
(Language materials, printed)
公司流動資產、固定資產與選擇權評價 = = Company’s current assets, fixed assets and option pricings /
by:
張丞君; Lu, Jin-Ray; 呂進瑞
(Language materials, printed)
基於廣義雙曲線分佈的風險度量 : = 國際原物料報酬的實證分析 = Risk measures based on generalized hyperbolic distribution - Empirical evidence of international raw material returns /
by:
呂進瑞; Lu, Jin-Ray; 謝宛螢
(Language materials, printed)
台灣民眾投資參與率、投資金額比率和個人背景關係之研究 = = The Relationship between Taiwanese people's investment participation, investment ratio and personal background /
by:
宋宜庭; 呂進瑞; Lu, Jin-Ray
(Language materials, printed)
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Subjects
Market Risk
固定資產
理論價值
流量風險
景氣循環
勞動投入
Total factor productivity
Capital input
Demographics
risk characteristics
市場風險
current asset
市場風險度量
投資意願
理財規劃
Investment Intention
指數型經理股票選擇權評價
indexed executive stock options
採購經理指數
cross-sectional expected return
複合選擇權
debt ratio
default risk
probability of default
dynamic programming theory
廣義雙曲線分佈
期望損失
Reward Configuration
long call condor strategy
激勵效果
基金經理人操作能力
Black-Scholes Model
流動資產
違約風險
returns on equity
theoretical value
資產配置
asset allocation
Hyperbolic Distribution
實體資本投入
Business cycle
人口統計
incentive effect
incentive persistence
capital budgeting
負債比率
corporate financial policy
隨機動態規劃
Binary Regression Method
特定風險
Idiosyncratic Risk
option pricing
flow risk
Generalized Hyperbolic Distribution
橫斷面預期報酬
Purchasing Managers' Index
資本預算
fixed asset
權益報酬率
選擇權評價
雙曲線分佈
報酬配置
全要素生產率
Asset Allocation
Stochastic dynamic programming
二元羅吉斯迴歸
Financial Planning
skilled fund managers
Black-Scholes模型
compound options
違約機率
公司財務政策
常態逆高斯分佈
Normal Inverse Gaussian Distribution
Value-at-Risk
Expected Shortfall
隨機動態規劃法
Labor input
option valuation
激勵持續性