教師個人簡歷
現職
國立中央大學
管理學院財務金融學系
教授
專長
財務管理
公司治理
行為財務
Corporate Finance
Corporate Governance
Behavioral Corporate Finance
專長簡述
最高學歷
國立臺灣大學
管理學院財務金融學系
博士
科技部學門領域
政府GRB研究專長領域
教育部學門領域
國科會計畫統計
-
負面ESG事件之漣漪效應與過度自信經理人ESG清洗行為研究
1150801~1160731
-
負面ESG事件之漣漪效應與過度自信經理人ESG清洗行為研究
1140801~1150731
-
負面ESG事件之漣漪效應與過度自信經理人ESG清洗行為研究
1130801~1140731
期刊著作
-
Risk attitude homophily and bank loan contracting
Review of Quantitative Finance and Accounting, 67, 1, 189-228, 2026-07-01
[ Bank loan contracting,Bank-borrower match,Financing cost,Non-price terms,Risk attitude ] -
Aesthetic Leadership: The Influence of CEO Attractiveness on Bank Loan Contracts
European Financial Management, 32, 1, 3-30, 2026-01-01
[ bank loan contracting,cash flow,CEO attractiveness,facial impressions,machine learning ] -
Risk culture in corporate innovation
International Review of Financial Analysis, 91, 2024-01-01
[ Corporate culture,Innovation,Patent,R&d,Risk preference ] -
CEO overconfidence, lottery preference and the cross-section of stock returns
Finance Research Letters, 54, 2023-06-01
[ CEO overconfidence,Lottery preference,Maximum daily returns,Stock returns ] -
Bank CEO risk-taking incentives and bank lending quality
Review of Quantitative Finance and Accounting, 60, 3, 949-981, 2023-04-01
[ Bank loan contracts,CEO risk-taking incentives,Corporate governance,Cumulative abnormal returns,Lending quality ] -
CEO overconfidence and bondholder wealth effects: Evidence from mergers and acquisitions
Journal of Corporate Finance, 77, 2022-12-01
[ Bondholder wealth effect,CEO overconfidence,Coinsurance effect ] -
Equity Short Selling and the Bank Loan Market
Journal of Money, Credit and Banking, 54, 2-3, 349-379, 2022-03-01 -
CEO overconfidence and bank loan contracting
Journal of Corporate Finance, 64, 2020-10-01
[ Borrowing costs,CEO overconfidence,Growth opportunities,Loan collateral,Loan covenants ] -
Effects of managerial overconfidence on analyst recommendations
Review of Quantitative Finance and Accounting, 53, 1, 73-99, 2019-07-15
[ Analyst experience,Analyst recommendation,Managerial overconfidence ] -
作業風險事件宣告對產業內競爭對手財富效果之影響 The Wealth Effects of Operational Risk Announcements on Intra-Industry Competitors
證券市場發展季刊, 30, 4, 1-49, 2018-12-01
[ Operational risk,Competitive effect,Wealth Effect ] -
公司與經理人特質對作業風險發生頻率之影響The Determinants of Operational Risk on the Firm and CEO Characteristics in Industrial Firms
管理學報, 35, 2, 159-188, 2018-06-01
[ operational risk,firm characteristics,corporate governance,CEO characteristics,作業風險,公司特質,公司治理,經理人特質 ] -
Effect of country governance on bank privatization performance
International Review of Economics and Finance, 43, 3-18, 2016-05-01
[ Country governance , Government-owned banks , Privatization ] -
CEO overconfidence and financial crisis: Evidence from bank lending and leverage
Journal of Financial Economics, 120, 1, 194-209, 2016-04-01
[ Bank lending,Bank leverage,CEO overconfidence,Financial crisis,Risk culture ] -
Political connection, government policy, and investor trading: Evidence from an emerging market
International Review of Economics and Finance, 42, 153-166, 2016-03-01
[ Government policy , Investor trading , Political connection , Presidential election , Stock returns ] -
Bank loan supply in the financial crisis: Evidence from the role of political connection
Emerging Markets Finance and Trade, 52, 2, 487-497, 2016-02-01
[ Bank loan supply , loan acceptance ratio , loan rate , political connections ] -
Does monitoring by the media improve the performance of government banks?
Journal of Financial Stability, 22, 76-87, 2016-02-01
[ E61 , G15 , G21 , Government banks , Lending corruption , Media monitoring , Operation performance ] -
Do political connections matter to bondholders? Evidence from China
Applied Economics Letters, 22, 15, 1240-1245, 2015-01-01
[ bond spreads , bondholders , China , political connections ] -
Firm age, idiosyncratic risk, and long-run SEO underperformance
International Review of Economics and Finance, 34, 246-266, 2014-11-01
[ Firm age , Growth option , Idiosyncratic risk , Long-run performance , Seasoned equity offerings ] -
CEO Overconfidence and Long-Term Performance Following R&D Increases
Financial Management, 43, 2, 245-269, 2014-01-01 -
Applying recurrent event analysis to understand the causes of changes in firm credit ratings
Applied Financial Economics, 22, 12, 977-988, 2012-06-01
[ AR-score , credit rating change , recurrent event analysis , underinvestment problem , Z-score ] -
Large changes in stock prices: Market, liquidity, and momentum effect
Quarterly Review of Economics and Finance, 52, 2, 183-197, 2012-05-01
[ Large change in stock price , Market and liquidity , Momentum effect , Size and book-to-market ratio ] -
Do industries matter in explaining stock returns and asset-pricing anomalies?
Journal of Banking and Finance, 36, 2, 355-370, 2012-02-01
[ Asset pricing model , Cross-section , Industry ] -
Effective methods for hedging downside risk during a global financial crisis: Evidence from asian stock index futures
International Research Journal of Finance and Economics, 41, 191-211, 2010-10-22
[ Asian stock index futures , Global financial crisis , HYGARCH , Kupiec LR tests , Long memory , VaR ]
校外榮譽
- 111 [科技部] 科技部吳大猷先生紀念獎
校內獲獎
- 113 特聘教授
- 112 研究傑出獎
- 108 新聘卓越獎
國際學術合作
- 1150429 ~ 1150429 與 [麥覺里大學] 合作
期刊編輯
-
1131201 ~ 1141231
企業管理學報
ISSN 1025-9627
擔任國立臺北大學企業管理學系「企業管理學報」(Econlit/Scopus)編輯委員 -
1120101 ~ 1120731
財務金融學刊 (原中國財務學刊)
ISSN 1022-2898
擔任「台灣財務金融實證研究」特刊主編
著作審查
- 1130829 ~ 1130929 以相關領域專家受邀審查Pacific Basin Finance Journal之著作
國立中央大學