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1رسالة جامعية
المؤلفون: 邱湘愉, Chiu, Hsiang-Yu
المساهمون: 管理學院: 會計學研究所, 指導教授: 杜榮瑞, 邱湘愉, Chiu, Hsiang-Yu
مصطلحات موضوعية: 重建計畫, 經理人過度自信, 繼續經營假設, turnaround plan, going concern, overconfidence, CEO
الوقت: 77
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2رسالة جامعية
المؤلفون: 林婉婷, Lin, Wan-Ting
المساهمون: 管理學院: 會計學研究所, 指導教授: 杜榮瑞, 林婉婷, Lin, Wan-Ting
مصطلحات موضوعية: 過度自信, 營運性重建計畫, 策略性重建計畫, Overconfidence, Operating turnaround initiatives, Strategic turnaround initiatives
الوقت: 77
وصف الملف: 1311492 bytes; application/pdf
العلاقة: http://ntur.lib.ntu.edu.tw/handle/246246/275156Test; http://ntur.lib.ntu.edu.tw/bitstream/246246/275156/1/ntu-104-R02722029-1.pdfTest
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3رسالة جامعية
المؤلفون: 曹云節, Tsao, Yun-Chieh
المساهمون: 臺灣大學: 會計學研究所, 蔡彥卿
مصطلحات موضوعية: 過度自信, 風險偏好, 獨立性, 會計師性別, overconfidence, risk-seeking, independence, sex difference
وصف الملف: 514415 bytes; application/pdf
العلاقة: http://ntur.lib.ntu.edu.tw/handle/246246/257622Test; http://ntur.lib.ntu.edu.tw/bitstream/246246/257622/1/ntu-100-R97722037-1.pdfTest
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4رسالة جامعية
المؤلفون: 張立人, Chang, Li-Jen
المساهمون: 臺灣大學: 國家發展研究所, 何耕宇
مصطلحات موضوعية: 併購, 過度自信, 傲慢, 獨裁, 管理偏誤, Mergers and Acquisitions, Overconfidence, Hubris, Dictatorship, Managerial biases
وصف الملف: 2444270 bytes; application/pdf
العلاقة: http://ntur.lib.ntu.edu.tw/handle/246246/254283Test; http://ntur.lib.ntu.edu.tw/bitstream/246246/254283/1/ntu-99-R97341040-1.pdfTest
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5رسالة جامعية
المؤلفون: 詹燿華, Chan, Yao-Hua
المساهمون: 陳聖賢, 臺灣大學:財務金融學研究所
مصطلحات موضوعية: 協議假說, 資本投資宣告, 過度自信, 自由現金流量, Agreement Hypothesis, Capital Investment Announcements, Overconfidence, Free Cash Flow
وصف الملف: application/pdf; 319308 bytes
العلاقة: U0001-2901200801515200; http://ntur.lib.ntu.edu.tw/handle/246246/182534Test; http://ntur.lib.ntu.edu.tw/bitstream/246246/182534/1/ntu-97-R94723085-1.pdfTest
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6رسالة جامعية
المؤلفون: 林雨賢, Lin, Yu-Shian
المساهمون: 胡星陽, 臺灣大學:財務金融學研究所
مصطلحات موضوعية: 分析師, 目標價, 過度自信, 券商特性, 分析師特性, 報告特性, analyst, target price, overconfidence, brokerage characteristics, analyst characteristics, report characteristics
وصف الملف: 393776 bytes; application/pdf
العلاقة: 參考文獻 英文部份 1. Asquith, P., M.B. Milhail, and A. Au, 2005, “Information Content of Equity Analyst Reports”, Journal of Financial Economics, Vol. 75, No.1, pp. 245-282 2. Bonini, S., L. Zanetti and R. Bianchini, 2006, “Target Price Accuracy in Equity Research”, Working Paper 3. Bradshaw, M.T. and L.D.Brown,2005 , “Do Sell-Side Analysts Exhibit Differential Target Price Forecasting Ability?”,Working Paper 4. Bradshaw, M. 2001, “Analysts’ Reports, Stock Recommendations, and Target prices.”, Working Paper, Harvard University 5. Brav, A. and R. Lehavy, 2003, “An Empirical Analysis of analysts’ Target Prices: Short-term Informativeness and Long-term Dynamics” The Journal of Finance, Vol.5, 1933-1967. 6. Clement, M.B., 1999, “Analyst Forecast Accuracy: Do Ability, Resources, and Portfolio omplexity Matter?” Journal of Accounting and Economics, Vol. 27 No.3, pp. 285-303. 7. Clement, M.B., and S. Tse, 2005, “Financial Analyst Characteristics and Herding Behavior in Forecasting”, The Journal of Finance, Vol LX, No.1,307-341 8. Mikhail, M.B.,B.R. Walther and R.H. Willis, 2004, “Do Sercurity Analysts Exhibit Persistent Difference in Stock Picking Ability?” Journal of Financial Economics, Vol. 74, 67-91. 9. Mikhail, M.B., B.R. Walther, X. Wang, and R.H. Willis, 2004, “Determanants of Superior Stock Picking Ability”,working Paper 10. Milhail, M.B., and B.R. Walther, 2003, “The Effect of Experience on Security Analyst Underreaction“, Journal of Accounting and Economic, 35,101-116 11. Rousseeuw, P.J., and A.M. Leroy, 1986, “Robust Regression and Outlier Detection”, Wiley 12. Shevlyakov, G.L., and N.O. Vilchevski, 2002,“Robustness in Data Analysis: criteria and methods”, VSP 13. Sorescu, S.M. and A. Subrehamanyam, 2004, “The Cross-Section of Analyst Recommendations”, Working Paper 14. Stickel, S., 1992, “Reputation and Performance Among Security Analysts”, The Journal of Finance 47, pp. 1811-1836 15. Stickel, S., 1995. “The Anatomy of The Performance of Buy and ell Recommendation”, Financial Analysts Journal 51, (5),25-39 16. Womack, K., 1996, “Do Brokerage Analysts’ Recommendatios Have Investment Value?”, The Journal of Finance 51, pp.137-16 中文部份 1. 汪健全,「台灣地區影響財務分析盈餘預估準確度因素之實證研究」,民國八十二年,台灣大學商學研究所未出版碩士論文 2. 池祥萱,蕭君怡,「券商投資評等報告的資訊內涵¬¬¬¬¬—本國券商與外資券商的比較」,民國九十四年,金融風險管理季刊,第一卷,第三期,27-45 3. 余俊憲,「財務分析師預測準確度和預測行為之研究」,民國九十二年,國防管理學院財務資源研究所未出版碩士論文 4. 林泓瑋,「證券分析師股票推薦和盈餘預測行為面課題之研究」,民國九十五年,中興大學財務金融所未出版碩士論文 5. 徐順祥,「網際網路股票推薦資訊之實證研究-以「群益證券」及「建華證券」為例」,民國九十五年,淡江大學財務金融所未出版碩士論文 6. 高武忠,「各系外資研究報告之可信度及對個股股價表現影響」,民國九十五年,台灣大學財務金融所未出版碩士論文; zh-TW; http://ntur.lib.ntu.edu.tw/handle/246246/60649Test; http://ntur.lib.ntu.edu.tw/bitstream/246246/60649/1/ntu-96-R94723044-1.pdfTest