專業著作 Textbooks and Professional Publications

大學教科書共計出版五本:
<
貨幣理論與政策><保險學><理財規劃理論與實務> ; <國際貿易理論與實務>;<保險實務與案例解析>;

三本探討<中國投資風險與策略><政府債券在金融危機角色><全球供應鍊與區域經濟發展>
有關國際財經議題的西文專書
,三本西文專書

目前已經由德國LAP國際出版機構在全球68個國家,4000多家出版商通路出版。


The first book entitled
"MNE investment strategy and risk evaluated in China"
(本專書由德國LAP出版機構在27-April-2012 全球68個國家,6000多家出版商通路出版, ISBN 978-3-659-10694-1);

Publishing house: LAP LAMBERT Academic Publishing

Website:https://www.lap-publishing.com/

The second book entitled

"What Government Bonds and Investors Matter in Global Financial Crisis? Evidence and Strategic Thinking"(本專書由德國LAP出版機構在23-August-2012 全球68個國家,6000多家出版商通路出版,ISBN 978-3-659-22419-5);


The third book entitled "
Global Value Chains and Regional Economic Integration Development" (本專書由德國LAP出版機構在5-September-2013 全球68個國家,6000多家出版商通路商出版,ISBN:978-3-659-45961-0);

Website linkage

https://www.morebooks.de/search/%20gb?q=+Yuang+Shiang+Chao%20&via_keyword=1

Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/


台灣地區共計出版六本財經類專書


財經類專書出版共計六本:<一萬元投資通-基金、外幣、債券一本搞定>;<前進股市搶錢的一本勝經>;<我的第一支基金會賺錢> 等專書;2010年暢銷專書:<我的第一支基金會賺錢(財經傳訊出版)> ; 2010128日出版,曾連續五個月持續蟬聯金石堂圖書財經類十大暢銷書前三名。

 



 
Global Value Chains and Regional Economic Integration Development

Headlights in this book (本書簡介)
This paper summarizes some crucial results as presented in aid for trade–An investment benefit road map from Asian countries. We focus on topics relating to regional cooperation and integration in the areas of infrastructure and software, trade and investment, money and finance, and regional public goods. In our findings, we link resource dependence theory and economic integration model to our findings to explain why China plays an important role in Asian countries, especially in south-eastern Asia. In addition, regional economic integration through logistics, information network and connectivity improvement can increase the virtual size and amount of an economy as trade with neighboring countries increases. This leads to substantial benefits from scale, network, coordination and agglomeration economies. According to our findings, GVCDs and regional integration has captured the imagination of South Asians but the debates on identifying appropriate and effective strategies for securing this objective continue on the better condition in developing beneficial integration economic effects and we find that China takes the best scores in Asian countries.





 
MNE Investment Strategy and Risk Evaluated in China

Headlights in this book (本書簡介)
The crucial findings In this book, we link resource dependence theory to our findings to explain why China investment(CI) plays an important role in foreign
diversification, especially in China. When TMNEs extend diversification activities, they can seek opportunities and new market through geographical diversification and can absorb new information and install different knowledge and energy into internal organization to obtain better performance level.We provide some sincere suggestions to decisionmakers and CEOs of MNEs or those TMNEs consider entering into the China market. TMNEs should consider carefully not over-inveested in China.MNE should focus on their cored investment fields with moderately middle-level diversification.According to our findings,CI strategy is possibly a better way to gain scope advantages.
The most important consideration for MNE decision makers is be careful in the context of change especially china government political policy which is highly changeable from governmental macro-economic adjustment policy. Furthermore,the inflow and outflow of finance not so flexible to operate will also limit the cash flow allocation efficiency to create better financial performance.





 
What Government Bonds and Investors Matter in Global Financial Crisis? Evidence and Strategic Thinking

Headlights in this book (本書簡介)
LAP LAMBERT Academic Publishing (2012-08-23)
Price 49.00
Amount: Add to cart
ISBN-13:
978-3-659-22419-5
ISBN-10:3659224197
EAN:9783659224195
Book language: English
Blurb/Shorttext: This paper introduces a new finding on the composition of the
investor base for government securities in the G20 advanced economies and the euro
area.During the last decades, investors from abroad have increased their presence in
government bond markets, whereas, the European debt(financial)crisis broke this
trend.Furthermore,This paper attempts to address three of the myriad of questions that
have arisen from the newly gained attention to the investor base.1.Which investor
groups hold what exposure to government securities? 2.Is there a link between the
investor base and bond pricing?3.What changes will the current European financial
crisis catalyze in thinking about economic development? On the mix of market and
state in the economy,it reaffirms the value of not relying blindly on the strengths of
either.The crisis showed again that both markets and EU governments/ECB can fail
spectacularly,and that while markets must ultimately be the drivers of growth,good
government is needed to create the conditions for markets to work well and to reduce
volatility and vulnerability.Additionally the global crisis leads to provide new
strategic thinking in practical policy especially in EU.
Publishing house: LAP LAMBERT Academic Publishing
Website: https://www.lap-publishing.com/
By (author) :Yuang Shiang Chao
Number of pages: 68
Published on: 2012-08-23
Stock: In stock
Category: International economy
Price: 49.00
Keywords: financial liberalization, Investors, global financial crisis, Government
Bonds, European Debt





 
理財規劃

理論與實務
作者:趙永祥、張真卿
華立圖書股份有限公司
國際貿易理論與政策
 
作者:陳旭潘、趙永祥

International Trade Theory and Policy
       

我的第一支基金會賺錢
 
作者:張真卿、趙永祥
財經傳訊出版社
 

壹萬元投資通

作者:趙永祥張真卿
「壹萬元投資通- 基金、
外匯與債券操作」
台灣廣廈出版公司
       

前進股市搶錢的一本勝經(股票技術分析 操作術)

作者:趙永祥、張真卿
財經傳訊出版社
寫給股市散戶的一本勝經

作者:趙永祥、張真卿
財經傳訊出版社
       

張真卿教你理財致富

作者:趙永祥、張真卿
財經傳訊出版社
貨幣理論與政策

作者:趙永祥、梁榮輝、劉金華
吉遠出版社
       

保險學理論與實務

作者:趙永祥林顯達、
劉美芳、黃新宗
吉遠出版社