公開日期 | 標題 | 作者 | 來源出版物 | scopus | WOS | 全文 |
2006 | How much do REITs pay for their IPOs? | Chen, Hsuan Chi; CHIU-LING LU | Journal of Real Estate Finance and Economics | 17 | 0 | |
2012 | International Real Estate Mutual Fund Performance: Diversification or Costly Information? | Shen, YP; CHIU-LING LU ; Lin, ZH | Journal of Real Estate Finance and Economics | 12 | 12 | |
2007 | New Evidence on Factors that Influence the Wealth Effects of Asset-Backed Securitization | Shen, Yang-Pin; Li-Ching Liu; CHIU-LING LU | 2007年台大國際金融學術研討會 | | | |
2005 | Real estate investment trusts | Chen, Hsuan Chi; KENG-YU HO ; CHIU-LING LU ; Wu, Cheng Huan | Journal of Portfolio Management | 29 | 0 | |
2002 | REIT returns and inflation: Perverse or reverse causality effects? | Glascock, JL; CHIU-LING LU ; So, RW | Journal of Real Estate Finance and Economics | 59 | 51 | |
2001 | The Relationship between REITs Returns and Inflation: A Vector Error Correction Approach | CHIU-LING LU ; So, Raymond W. | Review of Quantitative Finance and Accounting | 17 | 0 | |
2005 | Return Relationships between Listed Banks and Real Estate Firms: Evidence from Seven Asian Economies | CHIU-LING LU | The Journal of Real Estate Finance and Economics | 10 | 11 | |
2013 | Returns transmission, value at risk, and diversification benefits in international REITs: Evidence from the financial crisis | CHIU-LING LU ; Tse, Yiuman; Williams, Michael | Review of Quantitative Finance and Accounting | 21 | 0 | |
2022 | Review of REIT and MBS | CHIU-LING LU ; Wu, Chou Yen | Encyclopedia of Finance, Third Edition | 0 | 0 | |
2005 | A Test of Omitted Macroeconomic Variables in Marketing Time of Residential Housing | 紀志毅; 盧秋玲 | 證券市場發展季刊 | | | |
2023 | U.S. REIT banking relationships and syndicated loan pricing | Shen, Yang pin; Wu, Chou Yen; CHIU-LING LU | Review of Quantitative Finance and Accounting | 0 | 0 | |
1999 | Wealth effects of the basle accord on small banks | CHIU-LING LU ; Shen, Yangpin; So, Raymond W. | Journal of Economics and Finance | 3 | 0 | |
2015 | 不動產投資信託基金的發行時機:以投資情緒分析 | 盧秋玲 ; 楊曉瑩 | 住宅學報 | | | |
2008 | 以離散隨機效果Logit模型探討資產證券化的決定因素 | 沈仰斌; 邱麗卿; 盧秋玲 | 財務金融學刊 | | | |
2012 | 台灣銀髮族資產持有行為之探討 | 張日青; 盧秋玲 | 證券市場發展季刊 | | | |
2019 | 台灣銀髮族資產持有行為之探討 | 張日青; 盧秋玲 | 證券市場發展季刊 | | | |
2017 | 積極比例是否解釋台灣共同基金績效? | 盧秋玲 ; 張清發; 沈仰斌 | 證券市場發展季刊 | | | |
1999 | 銀行股票報酬與不動產市場之探討 | 游雅芳; 盧秋玲 | 中國財務學刊 | | | |