朝陽科技大學 095學年度第2學期教學大綱
Thesis Seminar(一) 財金論文研討(一)

當期課號 7014 Course Number 7014
授課教師 林益倍 Instructor LIN,YIH BEY
中文課名 財金論文研討(一) Course Name Thesis Seminar(一)
開課單位 財務金融系碩士班一A Department  
修習別 必修 Required/Elective Required
學分數 1 Credits 1
課程目標 協助研一同學瞭解論文撰寫過程,瞭解一篇好的論文必須具備的要件, 並且確立碩士論文的進行方向. Objectives 1.Learning how to wrap up their thesis. 2.Learning the most important criteria one good paper needs to satisfy.
教材 指定論文
1.Investor protection, prospect theory,
and earnings management: An international
comparison of the banking industry
2.Irreversible Investment, Financing, and Bankruptcy Decisions in
an Oligopoly
3.The Real Time Market Reactions to Earnings Warnings Announcements
4.The Valuation of Minimum Rate of Return Guarantees
under a Defined Contribution Pension Plan
5.The Wealth Effect of Japanese-U.S. Strategic Alliances
6.Evidence for Adverse Selection in the Automobile Insurance Market
7.Empirical Evidence for Advantageous Selection in the Insurance Market
8.Corporate Governance and the Informativeness of Accounting Earnings: The Role of the Audit Committee
9.Credit Analysis of Corporate Credit Portfolios‐‐‐
A Cash Flow Based Conditional Independent Default Approach
10.Ownership, Institutions, and Capital Structure:
Evidence from Chinese Firms
11.Corporate Financial Distress Diagnosis in China
12.An Examination of Long-Term Abnormal Stock
Returns and Operating Performance Following
R&D Increases
13.Intangible Assets, R&D Increases,
and Efficient Market Hypothesis
Teaching Materials Assigned Papers
1.Investor protection, prospect theory,
and earnings management: An international
comparison of the banking industry
2.Irreversible Investment, Financing, and Bankruptcy Decisions in
an Oligopoly
3.The Real Time Market Reactions to Earnings Warnings Announcements
4.The Valuation of Minimum Rate of Return Guarantees
under a Defined Contribution Pension Plan
5.The Wealth Effect of Japanese-U.S. Strategic Alliances
6.Evidence for Adverse Selection in the Automobile Insurance Market
7.Empirical Evidence for Advantageous Selection in the Insurance Market
8.Corporate Governance and the Informativeness of Accounting Earnings: The Role of the Audit Committee
9.Credit Analysis of Corporate Credit Portfolios‐‐‐
A Cash Flow Based Conditional Independent Default Approach
10.Ownership, Institutions, and Capital Structure:
Evidence from Chinese Firms
11.Corporate Financial Distress Diagnosis in China
12.An Examination of Long-Term Abnormal Stock
Returns and Operating Performance Following
R&D Increases
13.Intangible Assets, R&D Increases,
and Efficient Market Hypothesis
成績評量方式 論文提報40%, 測驗40%, 課程參與20% Grading Final Grade:
1. Class participation and presentation are very important factors in the final grading.
2. Some quizzes.
3. Presentation 40%, Quizzes 40%, and Class participation 20%.
教師網頁  
教學內容 以研討方式回顧13篇財金論文, 老師提報2篇, 學生每組提報1篇, 課堂上不定時抽問學生問題. Syllabus Class Structure:
The reference assigned papers are the foundation of this course.
尊重智慧財產權,請勿非法影印。