文化大學機構典藏 CCUR:Item 987654321/3551
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    Please use this identifier to cite or link to this item: https://irlib.pccu.edu.tw/handle/987654321/3551


    Title: 世紀初金融海嘯我國與日本股市政策實證分析
    Authors: 婁天威
    Contributors: 財金系
    Keywords: 融券放空
    融券放空限制
    股票市場
    政策分析
    Date: 2009-06
    Issue Date: 2010-06-17 10:39:05 (UTC+8)
    Abstract: 我國與日本在金融海嘯期間同樣採取融券放空限制相關措施,本文分別從理論面與政策面歸納整理,並作實證分析兩國政府採行禁止融券放空的政策效果。政府採行禁止融券放空相關措施,將會影響股市漲跌與成交量,加劇股市振幅,進而影響股市市場機能的正常運作;由於在壓抑股市跌幅的政策效果上,短期效果有用,但長期則失去政策意義,正如國外學者證明,政府不宜採行任何干預市場機制的措施,影響市場正常運作,政府應就有利於市場運作的事項進行改革。
    Relation: 永續發展與管理策略 1卷2期 P.1-19
    Appears in Collections:[Department of Banking & Finance ] periodical articles

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