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100-2專題演講

Master of Science, Finance Program, Yuan Ze University
Financial Seminar – 2012
Schedule revised Mar 30, 2012
 

Date/Time
Speaker
Topic
Mar 08,2012
(Thursday)
14:00-15:00
林景春博士 & 黃柏翔主任
國際風險管理師大中華認證中心
風險基礎財金專業與生涯規劃
Mar 15,2012
(Thursday)
13:10-15:00
楊惠昱 博士候選人
鄭家興 博士候選人
管理學院博士班財金學程
Topic IRemedial Efficiency of Internal Control Improving Process: Audit Firms and Audit Committees
Topic IIDo Analysts Trust the Non-GAAP Earnings around the Implementation of Reg. G?
Mar 22,2012
(Thursday)
15:00-15:40
劉文謙 博士
政治大學財務管理學系
Information asymmetry and bank regulation: Can the spread of debt contracts be explained by recovery rates?
Apr 12, 2012
(Thursday)
13:30-15:00
林佳靜 博士
臺灣大學經濟學系
Financial Intermediaries, Asset Transformation, and Liquidity
Apr 19, 2012
(Thursday)
14:10-15:30
莊惠菁 博士
臺灣大學經濟學系
Predicting Defaults with Regime Switching Intensity: Model and Empirical Evidence
Apr 26, 2012
(Thursday)
13:30-15:00
簡智崇 博士
臺灣大學國際企業學系
 
Re-examining the order flow and exchange rate dynamic- Using the novel heterogeneous information and liquidity measure
May 03, 2012
(Thursday)
13:30-15:00
謝秀能 校長
中央警察大學
名人管理講座:危機管理
May 10,2012
(Wednesday)
12:00-14:00
王立民 博士
成功大學國際企業學系
 
Volatility Contagion: A Range-based Volatility Approach
May 17,2012
(Thursday)
13:30-15:00
林基財 特聘教授
美國路易斯安那州立大學財金系教授
Takeover vulnerability and long-run performance following open-market share repurchases
May 24,2012
(Thursday)
13:30-15:00
林基財 特聘教授
美國路易斯安那州立大學財金系教授
Liquidity Preference and Cross-Sectional Turnover Persistence
May 31,2012
(Thursday)
13:30-15:00
楊智元 博士
中山大學財務管理學系
The Relationship between Stock and Real Estate Markets: Evidence from Taiwan
July 26 ,2012
(Thursday)
14:00-15:30
Prof. Vidhan Goyal
Professor of Finance, Hong Kong University of Science and Technology
Provision of Management Incentives in Bankrupt Firms