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成  绩:60 分
  • 1-Asset Price Bubbles-A Survey
  • 2-Adverse_Selection_in_Mortgage_Securization
  • 9-A Comparison of Global Factor Models
  • 10-2017-08-Housing Finance and Real Estate Markets in Colombia
  • 10洪振虔(215-246)
  • 12-2018-Housing Decision with Divorce Risk-p.47
  • 13-2020-08-Finance and the Supply of Housing Quality
  • 14-Inflation, Inflation Uncertainty and Asset
  • 15-Optimizing Conditional Value-at-Risk
  • 21ea5c119ea770194bce73f726adf5614daa
  • 103CYUT0218011-001
  • 109.12.01_AN INTERTEMPORAL CAPITAL ASSET PRICING MODEL
  • 2019v2-5
  • 90852_AN INTERTEMPORAL CAPITAL ASSET PRICING MODEL
  • FASP
  • IFM
  • p58-The Effects and Origins of House Price Uncertainty Shocks
  • The Evolution of American Housing Finance Market
  • The-Arbitrage-Theory-of-Capital-Asset-Pricing
  • 1-1993-Fama_French_paper
  • 2-The CAPM, APT, and PAPM
  • 3-On the (Ir)relevance of Long-Run Consumption Growth for Equity
  • 4-Testing Asset Pricing Models in the Presence
  • 5-A Capital Asset Pricing Model with Idiosyncratic Tail Risk
  • 6-Comparison of Factor Models in Capturing Factors Behind Stock Returns
  • 7-The Welfare Effects of Degrowth
  • 8-Beta × Forecast Dispersion
  • 9-The_Low-volatility_Anomaly
  • 10-Moving beyond the mean- explaining the cross-sectional tails with
  • 11-Empirical Validity of Asset-pricing Models
  • 12-Risk-Based Profit Maximization Strategies
  • 13-Intraday and Daily Dynamics of Cryptocurrency
  • 14-Global Oil and Gas stocks- anomalies, systematic risks, and mispricing
  • 15-Momentum_and_the_Cross-section_of_Stock_Volatility
  • 16-2019-DHS-Short-_and_Long-Horizon_Behavioral
  • 17-Short-Term_Idiosyncratic_Momentum
  • 18-On the Importance of Accounting Information
  • 19-Transaction Costs, Autocorrelation and Asset Pricing Models
  • 20-House Prices and Rents
  • 21-Managing Recession Risk
  • 22-The Social Welfare of Stock Market Mispricing
  • 23-2022-The_Heterogeneous_Welfare_Effects_of_Business
  • 24-Business_Cycle_Implications_of_Firm_Market
  • 25-A Comparison of Global Factor Models
  • 26-How Much Value is at Event Risk in the Energy Futures Market
  • 27-Intraday_Market_Return_Predictability
  • 28-Strategic Trading with Wealth Effect
  • 29-Identifying Risk Factor Regimes with Machine Learning
  • A Markov Switching State Dependent CAPM
  • Computational Investing with Python
  • Concealed Exchanges- Relational Work
  • ESG and CAPM
  • 2024-0912-不動產投資
  • 2024-09-Value-Add vs. Core
  • 2024-05-Asset Allocation and Private Markets
  • 2024-06-CRE Redevelopment Options
  • 2024-07-Timing Sustainable Engagement
  • 2024-08-Airfactors – Examining Priced Risk Factors
  • Campbell-2021-04-The Cross-Section of Household Preferences-calvetcampbellgomessodini_20210430
  • Campbell-2022-02-Who Owns What-whoownswhat_04feb2022
  • Campbell-2022-02-Who Owns Whatwhoownswhat_internetappendix_03feb2022
  • Campbell-2022-03-Sustainability in a Risky World
  • Campbell-reachingforyield_20201221
  • Campbell-reachingforyield_appendix_20201221_01
  • 2022-01-The Valuation of Illiquid Assets- A Focus on Private Equity and Real Estate
  • 2022-02-Work from Home and Commercial Real Estate
  • 2022-06-Sustainability and Private Equity Real Estate Returns
  • 2022-07-Investment and Capital Improvements in Commercial Real Estate
  • 2022-07-The Value of Connections
  • 2022-08-Real Estate and Construction Sector
  • Campbell-2019-cpv_appendix_20190510_2
  • campbell-2019-pfluegerviceira_20190510
  • CAmpbell-2020-Structuring Mortgages for Macroeconomic Stability
  • Campbell-2021-04-The Cross-Section of Household Preferences-appendix_household_preferences_20210430_full
  • Expected Returns on Commodity ETFs and their Underlying
  • Risk, monetary policy and asset prices
  • The Profitability Channel of Monetary Policy Transmission
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