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    ASIA unversity > 管理學院 > 財務金融學系 > 會議論文 >  Item 310904400/14499

    Please use this identifier to cite or link to this item: http://asiair.asia.edu.tw/ir/handle/310904400/14499

    Title: 美亞股市間指數報酬率關聯性之分析-Copula模型與風險機率圖法
    Authors: 王安岐;Wang, An-Chi;王安岐;Wang, An-Chi;王安岐;Wang, An-Chi
    Contributors: 財務金融學系
    Date: 201206
    Issue Date: 2012-11-23 10:53:29 (UTC+8)
    Relation: 2012中部財金學術聯盟研討會
    Appears in Collections:[財務金融學系] 會議論文

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