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
Green Finance
Banking
Credit Risk and R&D Innovation
Financial Inclusion and International Finance
Debt Structure
專長簡述
最高學歷
西班牙Universidad Carlos III de Madrid
工商管理學系
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
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策略差異和公司決策
1150801~1160731
-
策略差異和公司決策
1140801~1150731
-
策略差異和公司決策
1130801~1140731
-
經濟政策不確定性和產業競爭程度在財務上的應用
1120801~1130731
[普惠金融,研發創新,經濟政策不確定,產業競爭,現金流量不確定性,崩跌風險,經理人債型報酬,下方風險,董事會成員多元化 , Financial inclusion,economic policy uncertainty,industry competition,cash flow uncertainty,crash risk,CEO inside debts,downside risk,board diversity,R&D] -
經濟政策不確定性和產業競爭程度在財務上的應用
1110801~1120731
[普惠金融,研發創新,經濟政策不確定,產業競爭,現金流量不確定性,崩跌風險,經理人債型報酬,下方風險,董事會成員多元化 , Financial inclusion,economic policy uncertainty,industry competition,cash flow uncertainty,crash risk,CEO inside debts,downside risk,board diversity,R&D] -
經濟政策不確定性和產業競爭程度在財務上的應用
1100801~1110731
[普惠金融,研發創新,經濟政策不確定,產業競爭,現金流量不確定性,崩跌風險,經理人債型報酬,下方風險,董事會成員多元化 , Financial inclusion,economic policy uncertainty,industry competition,cash flow uncertainty,crash risk,CEO inside debts,downside risk,board diversity,R&D] -
經理人能力、經理人繼承、和家族管理的相關財務應用
1090201~1100731
[債務期間 ]
產學合作計畫統計
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極端氣候風險對我國金融體系之影響評估-兼論綠色債券對我國金融市場之效益
1100701~1110331
[極端氣候風險,離岸風電 , Extreme climate risk,Offshore wind power]
期刊著作
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Firm-level nature dependence and carbon pollution
Finance Research Letters, 87, 2026-01-01
[ Carbon pollution,Climate policy,Emerging market,Firm-level nature dependence,R&D investment ] -
The impact of country-specific geopolitical and country risk on Firms' Financial flexibility: International evidence
Pacific Basin Finance Journal, 94, 2025-12-01
[ Country risk,Country-specific geopolitical risk,Economic risk,F30,Financial flexibility,Financial risk,G30,G32 ] -
Cyber risk and corporate share repurchases
International Review of Financial Analysis, 103, 2025-07-01
[ Corporate governance,Cyberattacks,Data breaches,Firm undervaluation,Share repurchases ] -
Corporate dividend behavior under uncertainty: A study of Chinese firms
Pacific Basin Finance Journal, 91, 2025-06-01
[ Agency problems,Cash dividend,Financial constraint,TPU ] -
From green to digital: Exploring the role of ecological footprints on cybersecurity risk
Energy Economics, 146, 2025-05-01
[ Carbon emission,Cash holdings,Cybersecurity risk,Ecological footprint,Environmental sustainability,Innovation ] -
The role of happiness in bank risk: An international cross-country analysis
Pacific Basin Finance Journal, 90, 2025-04-01
[ Bank risk,Education,Emotions,Happiness,Political stability ] -
Environmental tightening, labor slackening: Unveiling the inefficiencies in labor investment
International Review of Financial Analysis, 99, 2025-03-01
[ Environmental policy stringency,Environmental, Social, and Governance (ESG),Green innovation,Labor investment inefficiency ] -
Digital Financial Inclusion and Innovation Growth
Emerging Markets Finance and Trade, 61, 15, 4914-4944, 2025-01-01
[ coverage breadth,Digital financial inclusion,digitalization level,innovation growth,usage depth ] -
Does green credit promote the performance of new energy companies and how? The role of R&D investment and financial development
Renewable Energy, 235, 2024-11-01
[ Financial development,Firm performance,Green credit,New energy companies,R&D investment,Regional difference ] -
Innovative routes: The impact of strategic deviance on corporate success
International Review of Financial Analysis, 96, 2024-11-01
[ Cash holding,Industry competition,Innovation,Managerial ability,Strategic deviance ] -
Digitalization and firms' debt maturity: Do financial constraints and uncertainty matter?
Pacific Basin Finance Journal, 85, 2024-06-01
[ Debt maturity,Digitalization,Financial constraint,Uncertainty risk ] -
Corporate leverage and leverage speed of adjustment: Does environmental policy stringency matter?
Pacific Basin Finance Journal, 85, 2024-06-01
[ Environmental policy stringency,Leverage,Speed of adjustment ] -
ESG engagement, country-level political risk and bank liquidity creation
Pacific Basin Finance Journal, 83, 2024-02-01
[ Corruption risk,Democratization,ESG,Geopolitical risk,Liquidity creation ] -
Managerial ability and R&D investment: do CEOs’ and firms’ characteristics matter?
Applied Economics, 56, 26, 3150-3165, 2024-01-01
[ CEOs’ granted stock option,CEOs’ salary,More talented managers,R&D investment ] -
Compulsory disclosure regulation: the effect of ESG on extreme risk
Applied Economics, 56, 32, 3856-3869, 2024-01-01
[ Compulsory disclosure regulation,Crash risk,ESG,Green bonds ] -
Environmental policy stringency and bank risks: Does green economy matter?
International Review of Financial Analysis, 91, 2024-01-01
[ Bank risks,Environmental policy stringency,Green economy ] -
CEO inside debt and downside risk: Evidence from internal and external environments
Pacific Basin Finance Journal, 80, 2023-09-01
[ CEO inside debts,CEOs' characteristics,Downside risk,Economic policy uncertainty,Equity market volatility,firms' characteristics,Industry competition ] -
Cash holdings and cash flows: Do oil price uncertainty and geopolitical risk matter?
Economic Analysis and Policy, 79, 134-152, 2023-09-01
[ Cash flows,Corporate cash holdings,Geopolitical risk,Oil price uncertainty ] -
The effect of asymmetric information disappears: Evidence in share repurchases and market efficiency
Finance Research Letters, 56, 2023-09-01
[ Information asymmetric,Market efficiency,Market uncertainty,Stock repurchase ] -
Green development, climate risks, and cash flow: International evidence
Pacific Basin Finance Journal, 79, 2023-06-01
[ Cash flow,Cash holdings,Climate risks,Green development ] -
The relationship between cash flow uncertainty and extreme risk: International evidence
Pacific Basin Finance Journal, 77, 2023-02-01
[ Cash flow uncertainty,Crash risk,Economic policy uncertainty,Industry competition ] -
Signaling effect of cash holdings adjustment before bond issuance
International Review of Financial Analysis, 85, 2023-01-01
[ Accrued earnings management,Bond issuance,Bond spread,Cash holdings,Real earnings management ] -
The impact of central bank digital currency variation on firm's implied volatility
Research in International Business and Finance, 64, 2023-01-01
[ Central bank digital currency,Implied volatility,Simultaneous equation models ] -
Does green bond issuance have an impact on climate risk concerns?
Energy Economics, 111, 2022-07-01
[ Acute physical risks,Chronic physical risks,Climate-related opportunities,Green bond issuance,Transition risks ] -
Climate risk and bank liquidity creation: International evidence
International Review of Financial Analysis, 82, 2022-07-01 -
Liquidation threat: Behavior of CEO entrenchment
Finance Research Letters, 47, 2022-06-01 -
The dimension of green economy: Culture viewpoint
Economic Analysis and Policy, 74, 122-138, 2022-06-01
[ Cross-country analysis,National culture,Green economy,Regulation,Technology,Financial development ] -
Financial aid and financial inclusion: Does risk uncertainty matter?
Pacific Basin Finance Journal, 71, 2022-02-01
[ Financial inclusion,Financial aid,Risk uncertainty,Developing countries ] -
The effects of economic policy uncertainty and country governance on banks' liquidity creation: International evidence
Pacific Basin Finance Journal, 71, 2022-02-01
[ Bank liquidity creation,Country governance,Economic policy uncertainty ] -
Do financial inclusion and R&D matter? Exploring the effect of uncertainty on economic performance
Applied Economics, 54, 3, 307-325, 2022-01-01 -
The Dimension of Bank Liquidity Creation: Culture Viewpoint
Emerging Markets Finance and Trade, 2022-01-01 -
Debt maturity choice in CEOs’ incentive to signal abilities
Asia-Pacific Journal of Accounting and Economics, 29, 3, 632-648, 2022-01-01 -
Debt maturity dispersion and the cost of bank loans
Journal of Corporate Finance, 70, 2021-10-01 -
Firms' cash reserve, financial constraint, and geopolitical risk
Pacific Basin Finance Journal, 65, 2021-02-01 -
Do firm characteristics affect debt capacity? Evidence in CEO succession
Applied Economics, 53, 48, 5567-5583, 2021-01-01
[ CEO succession,debt capacity,firms’ characteristics,real founders ] -
Country governance, corruption, and the likelihood of firms’ innovation
Economic Modelling, 92, 326-338, 2020-11-01
[ Corruption , Government governance , Innovation , Patents , Quality certificates ] -
Financial innovation and bank growth: The role of institutional environments
North American Journal of Economics and Finance, 53, 2020-07-01
[ Bank growth , Financial innovation , Institutional environments , Panel data ] -
Debt maturity and the cost of bank loans
Journal of Banking and Finance, 112, 2020-03-01
[ Asset substitution , Bank loan , Debt maturity , Rollover risk , Short-term debt ] -
Financial inclusion, financial innovation, and firms’ sales growth
International Review of Economics and Finance, 66, 189-205, 2020-03-01
[ Access to finance,Developing countries,Financial inclusion,Financial innovation,Firm's sales growth ] -
The impact of internal and external factors on the relationship between information opacity and open-market repurchases
Accounting and Finance, 2020-01-01
[ Corporate governance,Corporate governance,Financial crisis,Financial crisis,Information opacity,Information opacity,Open-market share repurchases,Open-market share repurchases,Ownership structure,Ownership structure ] -
Managerial Ability and External Financing
Asia-Pacific Financial Markets, 2020-01-01
[ Corporate governance,Equity financing,Financial constraint,Loan financing,Managerial ability ] -
Bank competition and firms’ dependence: evidence from firms’ role
Applied Economics, 2020-01-01
[ bank competition,family control firms,Firms’ dependence,individual bank ] -
Family Management and Corporate Bond Spreads: Do Foreign and Government Ownerships Matter?
Emerging Markets Finance and Trade, 2020-01-01
[ corporate bond yield spreads,Family management,foreign ownership,G3,G34,government ownership ] -
The impact of natural disaster on energy consumption: International evidence
Energy Economics, 2020-01-01
[ Energy consumption,Natural disaster,Quantile regression,System-GMM method ] -
Effect of short-term debt on default risk: Evidence from Pacific Basin countries
Pacific Basin Finance Journal, 57, 2019-10-01
[ Asset substitution , Default risk , Rollover risk , Short-term debt ] -
Rollover risk and cost of bank debt: The role of family-control ownership
Pacific Basin Finance Journal, 53, 362-378, 2019-02-01
[ Bank loan , Family-control ownership , Rollover risk , Short-term debt ] -
Does the source of debt financing affect default risk?
Review of Financial Economics, 36, 3, 232-251, 2018-07-20
[ Bank loans , Debt financing , Default risk , Public debt markets , Supply shock ] -
Managerial ability and corporate investment opportunity
International Review of Financial Analysis, 57, 65-76, 2018-05-01
[ Financial unconstrained , Investment opportunity , Managerial ability ] -
Effect of rollover risk on default risk: Evidence from bank financing
International Review of Financial Analysis, 54, 130-143, 2017-11-01
[ Bank dependence , Debt maturity , Default risk , Rollover risk ] -
Impact of Rollover Risk and Corporate Policy on Extreme Risk in the Taiwanese Manufacturing Industry
Review of Pacific Basin Financial Markets and Policies, 20, 3, 2017-09-01
[ Corporate policy , rollover risk , tail risk spillover ] -
Do investors price industry risk? Evidence from the cross-section of the oil industry
Journal of Energy Markets, 10, 1, 78-108, 2017-03-01
[ Anomalies , Asset pricing , Cross-sectional tests , Oil industry , Oil prices , Time series tests ] -
Tail risk spillovers and corporate cash holdings
Journal of Multinational Financial Management, 36, 30-48, 2016-09-01
[ Cash holdings , Conditional coexceedance , Financial constraints , Financial crisis , Tail risk spillover ] -
Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects
European Financial Management, 21, 5, 833-866, 2015-11-01
[ Correlated jumps , Predictability , Systemic risk , Tail dependence effects ] -
Industry characteristics and financial risk contagion
Journal of Banking and Finance, 50, 411-427, 2015-01-01
[ Conditional coexceedance , Debt financing , Investment , Tail risk , Valuation , Volatility spillover ] -
Risk factors in the Oil industry: An upstream and downstream analysis
Lecture Notes in Energy, 54, 3-32, 2014-01-01
[ Asymmetric effects , Oil and natural gas companies , Oil prices , Oil volatility ] -
Have domestic institutional investors become as market savvy as foreign investors? Evidence from the Taiwan options market
Journal of Derivatives, 21, 4, 63-81, 2014-01-01 -
Is the realized volatility good for option pricing during the recent financial crisis?
Review of Quantitative Finance and Accounting, 40, 1, 171-188, 2013-01-01
[ HAR , Log-HAR , NGARCH , Option pricing , Out-of-sample pricing performance , Realized volatility ] -
Do structural constraints of the industry matter for corporate failure prediction?
Investment Analysts Journal, 78, 65-81, 2013-01-01 -
Pricing SPX and DIX by HAR models
International Journal of Computational Science and Engineering, 5, 1, 10-20, 2010-01-01
[ DIX , EGARCH model , HAR-RV model , High-frequency data , Moneyness effects , Option pricing performance , SPX ]
校內獲獎
- 114 特聘教授
- 113 研究傑出獎
- 113 拔尖論文貢獻獎
- 112 拔尖論文貢獻獎
- 109 新聘卓越獎(舊制)
國立中央大學