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Faculty-Chih-Wei Wang, Associate Professor

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Chih-Wei Wang, Associate Professor

Education
Universidad Carlos III de Madrid, Spain
Research Expertise
Financial Risk Contagion、Managerial Ability、Credit Risk、R&D Innovation、Trademark
EXT.
66254
Email
chwang3690@ncu.edu.tw
Curriculum Vitae
Chih-Wei Wang
Papers
  1. C.-W. Wang* (with C.-C. Lee) (2021) “Firms’ Cash Reserve, Financial Constraint, and Geopolitical Risk” Pacific-Basin Finance Journal (SSCI, MOST Finance Ranking:A Tier 2, forthcoming).
  2. C.-W. Wang*(with J.-Y. Peng) (2021) “The Impact of Internal and External Factors on the Relationship between Information Opacity and Open-Market Repurchases” Accounting and Finance (SSCI, Accounting: A-, forthcoming).
  3. C.-W. Wang (with C.-C. Lee, S.-J. Ho, and T.-P. Wu) (2021), “The Effect of Natural Disaster on Energy Consumption: International Evidence” Energy Economics (SSCI, Economics: B+, forthcoming)
  4. C.-W. Wang*(with C.-C. Lee, C. Y, and M.-R Choo) (2021) “Bank Competition and Firms’Dependence: Evidence from Firms’ Role” Applied Economics (SSCI, Economics: B+,forthcoming).
  5. C.-W. Wang* (2020), “Debt Maturity Choice in CEOs’ Incentive to Signal Abilities” Asia-Pacific Journal of Accounting & Economics (SSCI, MOST Accounting Ranking: A-).
  6. C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020), “Financial Innovation and Bank Growth: The Role of Institutional Environments” North American Journal of Economics and Finance (SSCI, forthcoming).
  7. C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020), “Country Governance, Corruption, and the Likelihood of Firms’ Innovation” Economic Modelling (SSCI, forthcoming).
  8. C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020), “Financial Inclusion, Financial Innovation, and Firms’ Sales Growth” International Review of Economic and Finance Vol. 66, pp. 189-205 (SSCI, MOST Finance Ranking: B+).
  9. C.-W. Wang* (with W.-C. Chiu and Tao-Hsien Dolly King) (2020), “Debt Maturity and the Cost of Bank Loans” Journal of Banking & Finance Vol. 112, pp. 105235 (SSCI, MOST Finance Ranking:A Tier 1).
  10. C.-W. Wang* (with W.-C. Chiu) (2019), “Rollover risk and cost of bank debt: The role of family- control ownership” Pacific-Basin Finance Journal Vol. 57, pp. 326-378. (SSCI, MOST Finance Ranking:A Tier 2).
  11. C.-W. Wang* (with W.-C. Chiu) (2018), “Effect of short-term debt on default risk: Evidence from Pacific Basin countries” Pacific-Basin Finance Journal Vol. 57, pp. 101026. (SSCI, MOST Finance Ranking: A Tier 2).
  12. C.-W. Wang* (with C.-C. Lee, W.-C. Chiu and T.-S. Tien) (2018), “Managerial ability and Corporate Investment Opportunity” International Review of Financial Analysis Vol. 57, pp. 65–76. (SSCI, MOST Finance Ranking: B+).
  13. C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2017), “Does the Source of Debt Financing Affect Default Risk?” Review of Financial Economics (MOST Finance Ranking:B+).
  14. C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2017), “Effect of Rollover Risk on Default Risk: Evidence from Bank Financing.” International Review of Financial Analysis Vol. 54, pp. 130–143. (SSCI, MOST Finance Ranking: B+).
  15. C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2016), “Tail Risk Spillovers and Corporate Cash Holdings.” Journal of Multinational Financial Management Vol. 36, pp. 30–48. (MOST Finance Ranking:B+)
  16. C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2015), “Industry Characteristics and Financial Risk Contagion.” Journal of Banking & Finance Vol. 50, pp. 411–427. (SSCI, MOST Finance Ranking: A Tier 1).
  17. C.-W. Wang (with J. I. Peña and W.-C. Chiu) (2015) “Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects.” European Financial Management Vol. 21, pp. 833–866. (SSCI, MOST Finance Ranking: A Tier 2).  
  18. C.-W. Wang (with H.-H. Lee and W.-C. Chiu) (2014) “Have Domestic Institutional Investors Become as Market Savvy as Foreign Investors? Evidence from Taiwan Options Market.” Journal of Derivatives Vol. 21, No. 4: pp. 63–81. (SSCI, MOST Finance Ranking: A Tier 2).
  19. C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2013) “Do Structural Constraints of the Industry Matter for Corporate Failure Prediction?” Investment Analysts Journal Vol. 78, pp. 65–81. (SSCI)
  20. C.-W. Wang (with Y.-J. Jou and W.-C. Chiu) (2013) “Is the Realized Volatility Good for Option Pricing during the Recent Financial Crisis?” Review of Quantitative Finance and Accounting Vol. 40, pp. 171–188. (MOST Finance Ranking: A-). 
Books and other
  1. Ramos, Sofia B., Helena Veiga and Chih-Wei Wang, 2014, “Risk Factors in the oil industry: an upstream and downstream analysis” in The Interrelationship Between Financial and Energy Markets (Springer), Edited by Sofia B. Ramos and Helena Veiga
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