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一、中文部分
王玟婷(2010),「房市與股市之相關性探討」,國立高雄大學金融管理所,碩士 論文 王健安(1995),「房地產景氣與總體經濟景氣之研究」,國立政治大學地政研究所,碩士論文 吳鶴窈(2013),「國內房價指標與經濟因素之關聯研究」,國立政治大學經營管理碩士學程,碩士論文 林秋瑾、王健安、張金鶚(1997),「房地產景氣與總體經濟景氣於時間上領先、同時、落後關係之探討」,國家科學委員會研究彙刊,7(1),35-56 高銘駿(2005),「台灣銀行業的資本適足率與景氣循環之關係」,國立雲林科技大學財務金融所,碩士論文 許雯(2010),「總體景氣波動對銀行業不良債權比率之不對稱影響」,國立政治大學財政所,碩士論文 陳明吉、曾琬婷(1998),「台灣不動產市場從眾行為之檢視」,管理與系統,15(4),591-615 黃文治(1987),「建築業及其景氣」,台灣房屋市場,18(2),59-71 趙倚欣(2013),「總景氣波動對捐贈之不對稱影響」,國立政治大學財政所,碩士論文 蔡怡純、陳明吉(2008),「台北地區不動產價格波動之不對稱性探討」,住宅學報,17(2),1-11 蔡怡純、陳明吉(2013),「房價不對稱均衡調整:門檻誤差修正模型應用」,台灣土地研究,16(1),37-58 顏玲玲(2008),「總體經濟因素對台灣房價影響之研究」,台中科技大學事業經營研究所,碩士論文 卓輝華(2014),「房市激盪五十年」,財信出版 陳旭昇(2013),「時間序列分析-總體經濟與財務金融之應用」,東華書局 張金鶚、花敬群、彭健文、楊宗憲(2013),「房地產市場分析-理論與實務」,華泰文化事業
二、英文部分
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