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    Please use this identifier to cite or link to this item: http://asiair.asia.edu.tw/ir/handle/310904400/88666


    Title: Optimal diversification, bank value maximization, and default probability
    Authors: 陳曉瑩
    Contributors: 財務金融學系
    Date: 2015-02
    Issue Date: 2015-06-11 16:17:17 (UTC+8)
    Relation: Applied Economics incorporating Applied Financial Economics
    Appears in Collections:[Asian Journal of Arts and Sciences ] v.1 n.1

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