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師資陣容-李韋憲 教授 Wei-Hsien Li

  • 專任教授
  • 合聘教授
  • 兼任教授
  • 行政團隊

李韋憲 教授 Wei-Hsien Li

學歷
美國維吉尼亞理工大學財務金融學系博士
研究專長
公司理財、ESG、經理人、股利政策、合併與收購
辦公室
管二館827
教學專長
公司理財、金融機構與市場、財務報表分析、ESG
分機
66128
聯絡信箱
weihsienli@ncu.edu.tw
個人簡歷

Wei-Hsien Li

 

期刊論文
 
  1. Sharon S. Yang, Wei-Hsien Li, and Jr-Wei Huang (2024) Institutional Investor Stewardship and Material Sustainability Information: Evidence from Taiwan, Pacific-Basin Finance Journal, 85, 102382 (SSCI, 國科會財務領域國際期刊分級, A tier 2級)
  2. Debarati Bhattacharya, Tzu-Chang Forrest Cheng, Meng-Ju Chuang, Wei-Hsien Li and Zi-Peng Wang (2024) Terrorism-Induced Trauma and Corporate Innovation, Pacific-Basin Finance Journal, 85 102360 (SSCI, 國科會財務領域國際期刊分級, A tier 2級)
  3. Wei-Hsien Li, Jiahang Liang, Zih-Ying Lin (2024) Option-implied information and quality of patents. European Financial Management, 30(1) 164-186, (SSCI, 國科會財務領域國際期刊分級, A tier 2級)
  4. Nghia Huu Nguyen, Wei-Hsien Li (2022) Peer effects on corporate cash holdings: evidence from Vietnam. Asian Review of Financial Research, 35(2) 73-105
  5. Debarati Bhattacharya, Wei-Hsien Li (2020) Wealth Effects in M&A Deals: Reallocation of Physical vs. Intangible Assets. Review of Quantitative Finance and Accounting, 55(4) 1513-1548, (科技部財務領域國際期刊分級, A tier 2級)
  6. Debarati Bhattacharya, Ya-Yun Kao, Wei-Hsien Li (2020), Industry Experience of Board, CEO, and Acquisition Performance, Review of Pacific Basin Financial Markets and Policies, 23(3) 205022, (科技部財務期刊列表B級)
  7. Debarati Bhattacharya, Chia-Wen Chang, Wei-Hsien Li (2020), Stages of Firm Life Cycle, Transition and Dividend Policy, Finance Research Letters, 33 101226, (SSCI, 科技部財務期刊列表A- 級)
  8. Debarati Bhattacharya, Shih-Che Hsu, Wei-Hsien Li, Chun-Ting Liu (2019), A Combined Firm’s Decision to Hire the Target’s Financial Advisor after Acquisition: Does “Service Excellence” Pay Off? Finance Research Letters, 29 297 302, (SSCI, 科技部財務期刊列表A- 級)
  9. Wei-Hsien Li (2019), Can Investor Recognition Explain the Diversification Discount?, Review of Securities and Futures Markets, 31(2) 99-138 (TSSCI 第一級, 第十一屆聯電經營管理論文獎「傑出獎」).
  10. Debarati Bhattacharya, Tai-Yu Chen, Wei-Hsien Li (2018), Product Market Threat and Corporate Investments, Advances in Pacific Basin Business Economics and Finance, 6 27-50 (科技部財務期刊列表B級)
  11. Wei-Hsien Li, Ghon Rhee, Carl Hsin-han Shen (2018), CEO Inside Debt and Convertible Bonds, Journal of Business Finance & Accounting, 45(1 2) 232 249 (SSCI, 科技部財務期刊列表 A tier 1級)
  12. Wei-Hsien Li (2017), Do Overconfident CEOs Ignore the Market? Review of Securities and Futures Markets, 29(4) 105 146 (TSSCI 第一級)
  13. Debarati Bhattacharya, Wei-Hsien Li, Gokhan Sonaer (2017), Has momentum lost its momentum? Review of Quantitative Finance and Accounting, 48(1) 191 218 (科技部財務領域國際期刊分級, A tier 2級)
 
研討會論文
  1. “Institutional investor horizon and CSR peer imitation,” The 2024 Massey Sustainable Finance Conference, Auckland, New Zealand, Dec 2024
  2. “Institutional investor horizon and CSR peer imitation,” 2024 Taiwan Finance Association Annual Meeting, Kaohsiung, Taiwan, Jun 2024
  3. “CSR peer imitation, investment horizon heterogeneity, and firm-value,” APU CIL Conference 2024, Osaka, Japan, Jun 2024
  4. “CEOs' Reaction to Terrorism-Induced Trauma and Corporate Innovation,” Vietnam Symposium in Banking and Finance 2023, Hanoi, Vietnam, Oct 2023
  5. “Institutional Investor Stewardship and Material Sustainability Information: Evidence from Taiwan,” 2022 TRIA-FeAT Conference, Taichung, Taiwan, Dec 2022
  6. “Psychological Consequences of Traumatic Events: How Terrorist Attacks While in University Shape CEOs’ Outlook Towards Corporate Innovation,” 2022 TRIA-FeAT Conference, Taichung, Taiwan, Dec 2022
  7. “Peer effects on corporate cash holdings: evidence from Vietnam,” 2021 Frontiers in Accounting and Finance and Syntrend, Ethnic Chinese Enterprises, and Modern Management Conference, Kinmen, Taiwan, Nov 2021
  8. “Peer effects on corporate cash holdings: evidence from Vietnam,” International Conference on Business, Accounting, Finance and Economics 2021, Universiti Tunku Abdul Rahman, Malaysia, Online session, Oct 2021
  9. “Corporate Governance, Idiosyncratic Risk, and Dividend Policy,” 2021 China International Risk Forum, Online session, Jul 2021
  10. “The options-implied information, quality of patents, and investor sentiment,” The 28th Conference on the Theories and Practices of Securities and Financial Markets, Kaohsiung, Taiwan, Dec 2020
  11. “The options-implied information, quality of patents, and investor sentiment,” The 8th Taiwan Symposium on Innovation Economics and Entrepreneurship, Taipei, Taiwan, Oct 2020
  12. “The options-implied information, quality of patents, and investor sentiment,” 2020 Taiwan Finance Association Annual Meeting, Puli, Taiwan, Sep 2020
  13. “Wealth Effects in M&A Deals: Reallocation of Physical vs. Intangible Assets,” The 27th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management, Taipei, Taiwan, Jun 2019
  14. “Stages of Firm Life Cycle, Transition and Dividend Policy,” 2019 Taiwan Finance Association Annual Meeting, Taipei, Taiwan, May 2019
  15. “Wealth Effects in M&A Deals: Reallocation of Physical vs. Intangible Assets,” The 16th Conference on the Development of Cross-Strait Financial Markets, Taipei, Taiwan, Mar 2019
  16. “Industry Experience of Board, CEO, and Acquisition Performance,” 2018 New Zealand Finance Meeting, Queenstown, New Zealand, Dec 2018
  17. “A Combined Firm’s Decision to Hire the Target’s Financial Advisor after Acquisition: Does It Pay to be ‘Loyal’?” 2018 Taiwan Finance Association Annual Meeting, Taipei, Taiwan, May 2018
  18. “Does Better Corporate Governance Encourage Payout? Idiosyncratic Risk, Agency Problem, and Dividend Policy,” Eastern Finance Association Annual Meeting, Philadelphia, USA, Apr 2018
  19. “Industry Experience of Board and Acquisition Performance,” The 25th Conference on the Theories and Practices of Securities and Financial Markets, Kaohsiung, Taiwan, Dec 2017
  20. “Does Better Corporate Governance Encourage Payout? Idiosyncratic Risk, Agency Problem, and Dividend Policy,” Financial Management Association Annual Meeting, Boston, USA, Oct 2017
  21. “Industry Experience of Board and Acquisition Performance,” 2017 Taiwan Finance Association Annual Meeting, Hualien, Taiwan, May 2017
  22. “CEO Inside Debt and Convertible Bonds,” 2017 Taiwan Finance Association Annual Meeting, Hualien, Taiwan, May 2017
  23. “CEO Inside Debt and Convertible Bonds,” The 10th NCTU International Finance Conference, Hsinchu, Taiwan, Dec 2016
  24. “Information Measures and Merger Announcements,” The 24th Conference on the Theories and Practices of Securities and Financial Markets, Kaohsiung, Taiwan, Dec 2016
  25. “Does Better Corporate Governance Encourage Payout? Idiosyncratic Risk, Agency Problem, and Dividend Policy,” SIBR-RDINRRU Conference on Interdisciplinary Business and Economics Research, Osaka, Japan, Jul 2016
  26. “Does Better Corporate Governance Encourage Higher Payout? Risk, Agency Cost, and Dividend Policy,” The 23rd Conference on the Theories and Practices of Securities and Financial Markets, Kaohsiung, Taiwan, Dec 2015
  27. “Dividend Conservatism: A Corporate Governance and Sensitivity Towards Risk Approach,” Taiwan Finance Symposium – Corporate Finance, Taipei, Taiwan, Jun 2015
  28. “Can Investor Recognition Explain the Diversification Discount?” 2015 Taiwan Finance Association Annual Meeting, Hsinchu, Taiwan, Jun 2015
  29. “Dividend Conservatism: A Corporate Governance and Sensitivity Towards Risk Approach,” The 12th Conference on the Development of Cross-Strait Financial Markets, Taipei, Taiwan, Apr 2015
  30. “When Do M&As Create Value?” Midwest Finance Association Annual Meeting, Chicago, USA, Mar 2015
  31. “Benefits and Costs of Asset Reallocation in Mergers and Acquisitions,” Financial Management Association Annual Meeting, Chicago, USA, Oct 2013
  32. “Do Overconfident CEOs Ignore the Market?” FMA European Conference, Luxembourg City, Luxembourg, Jun 2013
  33. “Do Overconfident CEOs Ignore the Market?” Behavioral Finance & International Financial Markets Theory and Empirics Conference, Taipei, Taiwan, Jan 2013
  34. “Benefits and Costs of Asset Reallocation in Mergers and Acquisitions,” Financial Management Association European Conference, Istanbul, Turkey, Jun 2012
  35. “Benefits and Costs of Asset Reallocation in Mergers and Acquisitions,” Eastern Finance Association Annual Meeting, Boston, USA, Apr 2012
 
研究計畫
  1. 台灣公司永續報告書重大議題之深入探討,國科會 114-2410-H-008-020 MY2 (2025-2026)
  2. CEO大學經歷與公司複雜度,國科會 短期研究 114-2918-I-008 -002 (2025)
  3. 創新與公司風險的深入探討,國科會 112-2410-H-008-059 MY2 (2023-2024)
  4. 長短期投資人對股利政策、企業社會責任同儕效果之影響,科技部  110-2410-H-008-022-MY2 (2021-2022)
  5. 企業社會責任投入之動機與策略與公司價值,科技部 109-2410-H-008-010 (2020)
  6. Global Investment Performance Standard (GIPS®) and Domestic Asset Management Institutes in Taiwan,CFA Society Taiwan (2019)。
  7. 執行長生涯文化認同形成、文化距離、與企業社會責任,科技部 108-2410-H-008-028 (2019)
  8. 有形資產與無形資產再配置與購併綜效,科技部 107-2410-H-008-027 (2018)
  9. 執行長生涯文化認同形成、公司與執行長之文化距離、與公司財務相關決策,科技部 106-2410-H-008-034 (2017)
  10. 股利發放保守性與公司治理,科技部 104-2410-H-008-020 (2015)
  11. 重新定義董事忙碌程度:董事工作負擔與監理效率之研究,科技部 103-2410-H-008-026 (2014)
  12. 投資人辨識度可以解釋多角化『折價』嗎?,國科會 102-2410-H-008-023 (2013)
  13. 管理者薪資結構與公司風險:聘前篩選與聘後激勵,國科會 102-2410-H-008-001 (2013)
 
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