瀏覽人次:
3972
學術發展
教師部門 | 教師單位 | 教師姓名 | 教師職稱 | 參與教師 | 論文名稱 | 發表年度 | 發表月份 | 發表章節 | 論文性質 | 期刊類別 | 期刊名稱 | 期刊年度 |
管理學院 | 財務金融學系 | 簡智崇 | 助理教授 | (01)簡智崇,(02)Shikuan Chen,(03)Ming-Jen Chang | Variation in Executive Compensation and Allocation of Cash Flow | 2020 | 09 | 9(3):49~59 | 正式論文 | Other | Economics | 2019 |
管理學院 | 財務金融學系 | 王聖權 | 助理教授 | (01)王聖權,(02)H. C.W. Hsiao,(03)Chun-Cheng Lin,(04)H.-H. Chin | Multi-objective wireless sensor network deployment problem with cooperative distance-based sensing coverage | 2021 | 01 | ():~ | 正式論文 | SCI | MOBILE NETWORKS & APPLICATIONS | 2018 |
管理學院 | 財務金融學系 | 劉永欽 | 教授 | (01)劉永欽,(02)陳香如,(03)許瑋婷 | Trading Outcomes and Subsequent Portfolio Risks: Using Securities Dealer in Taiwan as an Example | 2020 | 09 | 15(3):2050012~ | 正式論文 | Other | Annals of Financial Economics | 2018 |
管理學院 | 財務金融學系 | 簡智崇 | 助理教授 | (01)簡智崇,(02)Shikuan Chen,(03)Ming-Jen Chang | A span of continuous trades and liquidity dynamics in foreign exchange markets | 2021 | 05 | ():~ | 正式論文 | SSCI | INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS | 2017 |
管理學院 | 財務金融學系 | 王聖權 | 助理教授 | (01)王聖權,(02)陳大正 | Using NSGA-II to solve multi-objective competitive location problem with cooperative coverage for distance-based attractiveness | 2021 | 01 | ():~ | 正式論文 | SCI | JOURNAL OF INTELLIGENT & FUZZY SYSTEMS | 2019 |
管理學院 | 財務金融學系 | 陳獻儀 | 教授 | (01)陳獻儀,(02)蔡豐澤 | Credit Contagion and Risk Sharing among State Governments | 2021 | 03 | 29(1):25~60 | 正式論文 | TSSCI | 財務金融學刊/Journal of Financial Studies | 2012 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Another outlook to sector-level energy consumption in Pakistan from dominant energy sources and correlation with economic growth | 2020 | NA | ():~ | 正式論文 | SCI | ENVIRONMENTAL SCIENCE AND POLLUTION RESEARCH | 2011 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Examining the asymmetric effects of stock markets and exchange rate volatility on Pakistan’s environmental pollution | 2020 | NA | ():~ | 正式論文 | SCI | ENVIRONMENTAL SCIENCE AND POLLUTION RESEARCH | 2011 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Examining the linkages between electricity consumption and economic growth in African economies | 2020 | NA | ():~ | 正式論文 | SCI | ENERGY | 2019 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Asymmetric investigation to track the effect of urbanization, energy utilization, fossil fuel energy and CO2 emission on economic efficiency in China: another outlook | 2020 | NA | ():~ | 正式論文 | SCI | ENVIRONMENTAL SCIENCE AND POLLUTION RESEARCH | 2011 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | A visualization review analysis of the last two decades for environmental Kuznets curve "EKC" based on co-citation analysis theory and pathfinder network scaling algorithms | 2020 | NA | ():~ | 正式論文 | SCI | ENVIRONMENTAL SCIENCE AND POLLUTION RESEARCH | 2011 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | The effect of ICT on energy consumption and economic growth in South Asian economies: An empirical analysis | 2020 | NA | ():~ | 正式論文 | SSCI | TELEMATICS AND INFORMATICS | 2019 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | The implications of renewable and non-renewable energy generating in Sub-Saharan Africa: The role of economic policy uncertainties | 2020 | NA | ():~ | 正式論文 | SSCI | ENERGY POLICY | 2019 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Modeling the dynamic linkage between financial development,energy innovation, and environmental quality: Does globalization matter? | 2020 | NA | ():~ | 正式論文 | SSCI | Business Strategy and the Environment | 2019 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Heterogeneous links among urban concentration, non-renewable energy use intensity, economic development, and environmental emissions across regional development levels | 2020 | NA | ():~ | 正式論文 | SCI | SCIENCE OF THE TOTAL ENVIRONMENT | 2011 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Dynamics between disaggregates of governance and stock market performance in selected South Asia countries | 2020 | NA | ():~ | 正式論文 | SSCI | INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS | 2019 |
管理學院 | 財務金融學系 | Ilhan Ozturk | 兼任教授 | (01)Ilhan Ozturk | Identifying structural breaks and growth regimes in middle eastern economies | 2020 | NA | ():~ | 正式論文 | SSCI | INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS | 2019 |
管理學院 | 財務金融學系 | 臧仕維 | 教授 | (01)張俊評,(02)張仁駿,(03)蔡永順,(04)謝宗祐,(05)臧仕維 | 異質性風險、公司特性與股票報酬率-台灣上市公司之實證 | 2021 | 04 | 2021(4):109~124 | 正式論文 | Other | 藝見學刊 | 2020 |
管理學院 | 財務金融學系 | 臧仕維 | 教授 | (01)蔡永順,(02)陳彥宸,(03)張俊評,(04)臧仕維 | 風險對散戶投資人過度自信的影響 | 2021 | 04 | 2021(4):51~68 | 正式論文 | Other | 藝見學刊 | 2020 |
管理學院 | 財務金融學系 | 臧仕維 | 教授 | (01)臧仕維,(02)蔡永順,(03)張俊評,(04)Yu-Jun Zhang | The Relationship between Information Asymmetry and Abnormal Returns: A Study of Individual Investors and Institutional Investors | 2021 | 03 | 17(1):79~105 | 正式論文 | Other | Journal of Economics and Management | 2019 |
管理學院 | 財務金融學系 | 陳安斌 | 專案講座教授 | (01)Chern-Bin Ju,(02)Min-Chih Hung,(03)陳安斌 | Marketrofile with Convolutional Neural Networks: Learning the Structure of Price Activities | 2020 | 12 | ():~ | 正式論文 | EI | 2014 International Symposium on Computer, Consumer and Control(IS3C) | 2014 |
管理學院 | 財務金融學系 | 臧仕維 | 教授 | (01)洪志興,(02)臧仕維 | Consumption and investment values in housing price: a real options approach | 2021 | 05 | 25(4):278~290 | 正式論文 | SSCI | International Journal of Strategic Property Management | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Raymond H. Chan,(02)Ephraim Clark,(03)Xu Guo,(04)黃永強 | New Development on the Third-Order Stochastic Dominance for Risk-Averse and Risk-Seeking Investors with Application in Risk Management | 2020 | 08 | 22(22):108~132 | 正式論文 | SSCI | Risk Management-An International Journal | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Yuan, X,(02)Tang, J,(03)黃永強,(04)Sriboonchitta, S. | Modeling Co-Movement among Different Agricultural Commodity Markets: A Copula-GARCH Approach | 2020 | 11 | 12(1):383~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)黃永強 | Editorial Statement and Research Ideas for Efficiency and Anomalies in Stock Markets | 2020 | 08 | ():~ | 正式論文 | Other | Economies | 2018 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Amanda M.Y. Chu,(02)Zhihui Lv,(03)Niklas Wagner,(04)黃永強 | Linear and Nonlinear Growth Determinants: The Case of Mongolia and its Connection to China | 2020 | 08 | 43():100693~ | 正式論文 | SSCI | Emerging Markets Review | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Huu Manh Nguyen,(02)Thi Huong Giang Vuong,(03)Thi Huong Nguyen,(04)Yang-Che Wu,(05)黃永強 | Sustainability of Both Pecking Order and Trade-off Theories in Chinese Manufacturing Firms | 2020 | 09 | 12(9):3883~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)張嘉玲,(02)馬可立,(03)黃永強 | Risk and Financial Management of COVID-19 in Business, Economics, and Finance | 2020 | 08 | 13(5):102~ | 正式論文 | Other | Journal of Risk and Financial Management | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Munkh-Ulzii Batmunkh,(02)Enkhbayar Choijil,(03)Joao PauloVieito,(04)Christian Espinosa-Mendez,(05)黃永強 | Does Herding Behavior Exist in the Mongolian Stock Market | 2020 | 09 | 62():101352~ | 正式論文 | SSCI | Pacific-Basin Finance Journal | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Tran Thai Ha Nguyen,(02)Massoud Moslepour,(03)Thi Thuy Van Vo,(04)黃永強 | State Ownership, Profitability, Risk-Taking Behavior, and Investment: An Empirical Approach to get better Trading Strategy for Listed Corporates in Vietnam | 2020 | 08 | 8():46~ | 正式論文 | Other | Economies | 2018 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)10. Jabir Esmaeil,(02)Husam Rjoub,(03)黃永強 | Do oil price shocks and other factors create bigger impacts on Islamic banks than conventional banks? | 2020 | 09 | 13(12):3106~ | 正式論文 | SCI | Energies | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Samah Ibnou-Laaroussi,(02)Husam Rjoub,(03)黃永強 | ustainability of Green Tourism among International Tourists and Its Influence on the Achievement of Green Environment: Evidence from North Cyprus | 2020 | 09 | 12(14):5698~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Ying Li,(02)Yue Xia,(03)Yang-Che Wu,(04)黃永強 | The Sustainability of Energy Substitution on the Chinese Electric | 2020 | 10 | 12():5463~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Imran Yousaf,(02)Shoaib Ali,(03)黃永強 | Return and Volatility transmission between world-leading and Latin American stock markets: portfolio implications | 2021 | 02 | 13(7):148~ | 正式論文 | Other | Journal of Risk and Financial Management | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Siamand Hesami,(02)Bezhan Rustamov,(03)Husam Rjoub,(04)黃永強 | Implications of oil price fluctuations for tourism receipts: The Case of Oil Exporting Countries | 2021 | 03 | 13(17):4349~ | 正式論文 | SCI | Energies | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Tuan Hai Nguyen,(02)Kuan-Han Lin,(03)Ferry Fadzlul Rahman,(04)歐仁和,(05)黃永強 | Study of depression, anxiety, and social media addiction among undergraduate students | 2021 | 02 | 23(4):284~303 | 正式論文 | Other | Journal of Management Information and Decision Sciences | 2018 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Imran Yousaf,(02)Shoaib Ali,(03)黃永強 | An empirical analysis of the volatility spillover effect between world leading and the Asian stock markets: Implication for portfolio management | 2020 | 08 | 13():226~ | 正式論文 | Other | Journal of Risk and Financial Management | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Moawia Alghalith,(02)黃永強 | Extension of Stein's Lemmas to General Functions and Distributions | 2020 | 11 | 24(4):77~88 | 正式論文 | Other | Advances in Decision Sciences | 2020 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Wenjing Xie,(02)Joao Paulo Vieito,(03)Ephraim Clark,(04)黃永強 | Could Mergers Become More Sustainable? A Study of the Stock Exchange Mergers of NASDAQ and OMX | 2021 | 01 | 12(20):8581~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Kim Hung PHO,(02)Sel LY, Richard LU,(03)Thi Hong Van HOANG,(04)黃永強 | Is Bitcoin a better portfolio diversifier than gold? A copula and risk analysis for China | 2020 | 10 | 74():101674~ | 正式論文 | SSCI | International Review of Financial Analysis | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Thong Trung Nguyen,(02)Toan Luu Duc Huynh,(03)黃永強 | Factors driving openness in China trade: corruption, exchange rate volatility, and macro determinants | 2021 | 04 | ():~ | 正式論文 | Other | Review of Pacific Basin Financial Markets and Policies | 2010 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Xu Guo, Martin Egozcue,(02)黃永強 | Production theory under price uncertainty for ?rms with disappointment aversion | 2021 | 02 | 59(8):2392~2405 | 正式論文 | SCI | INTERNATIONAL JOURNAL OF PRODUCTION RESEARCH | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Kamrul Hassan,(02)Ariful Hoque,(03)Dominic Gasbarro,(04)黃永強 | Are Islamic stocks immune from financial crises? Evidence from contagion tests | 2021 | 06 | ():~ | 正式論文 | SSCI | International Review of Economics and Finance | 2010 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Husam Rjoub,(02)Adetola Odugbesan,(03)Tomiwa Sunday Adebayo,(04)黃永強 | Sustainability of the moderating role of Financial Development in the Determinants of Environmental Degradation | 2021 | 02 | 10():3390~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Fang-Yi Lo,(02)黃永強,(03)Jessica Geovani | Optimal Combinations of Factors Influencing the Sustainability of Taiwanese Firms | 2021 | 01 | ():~ | 正式論文 | SSCI | International Journal of Emerging Markets | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Husam Rjoub,(02)Jamiu Adetola Odugbesan,(03)Tomiwa Sunday Adebayo,(04)黃永強 | Investigating the Causal Relationships among Carbon Emissions, Economic Growth, and Life Expectancy in Turkey: Evidence from Time and Frequency Domain Causality Techniques | 2021 | 03 | 13():2924~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Amanda M. Y Chu,(02)Thomas W.C. Chan,(03)Mike K. P. So,(04)黃永強 | Dynamic Network Analysis of COVID-19 with a Latent Pandemic Space Model | 2021 | 04 | 18(6):3195~ | 正式論文 | SCI | International Journal of Environmental Research and Public Health | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Zhihui Lv,(02)Amanda M. Y. Chu,(03)黃永強,(04)Thomas C. Chiang | The maximum-return-and-minimum-volatility effect: Evidence from including both Health Care and Treasure-Bill in the portfolio | 2021 | 05 | ():~ | 正式論文 | SSCI | Risk Management-An International Journal | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Tomiwa Sunday Adebayo,(02)Abraham Ayobamiji Awosusi,(03)Jamiu Adetola Odugbesan,(04)Gbenga Daniel Akinsola,(05)黃永強,(06)Husam Rjoub | Sustainability of Energy-induced Growth nexus in Brazil: Do CO2 Emissions and Urbanization matter? | 2021 | 02 | 13(8):4371~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)Shabir Mohsin Hashmi,(02)M Akram Gilal,(03)黃永強 | Sustainability of Global Economic Policy and Stock Market Returns in Indonesia | 2021 | 04 | 13(10):5422~ | 正式論文 | SCI | Sustainability | 2019 |
管理學院 | 財務金融學系 | 黃永強 | 講座教授 | (01)黃永強 | Editorial Statement and Research Ideas for Behavioral Financial Economics in Emerging Market | 2021 | 05 | ():~ | 正式論文 | SSCI | International Journal of Emerging Markets | 2019 |
管理學院 | 財務金融學系 | 馬可立 | 專案講座教授 | (01)M. Asai,(02)R. Gupta,(03)馬可立 | Forecasting volatility and co-volatility of crude oil and gold futures: Effects of leverage, jumps, spillovers, and geopolitical risks | 2021 | 02 | 36(3):933~948 | 正式論文 | SSCI | INTERNATIONAL JOURNAL OF FORECASTING | 2019 |