期刊論文 |
2019 |
W.-C. Chiu and C.-W. Wang* (2019). Rollover risk and cost of bank debt: The role of family- control ownership. Pacific-Basin Finance Journal, 53, 362-378. (SSCI) |
期刊論文 |
2019 |
Wang, CW; Chiu, WC (2019). Effect of short-term debt on default risk: Evidence from Pacific Basin countries. Pacific-Basin Finance Journal, 57. (SSCI) |
期刊論文 |
2018 |
C.-C. Lee, C.-W. Wang*, W.-C. Chiu and T.-S. Tien (2018). Managerial ability and Corporate Investment Opportunity. International Review of Financial Analysis, 57, 65-76. (SSCI) |
期刊論文 |
2018 |
Lee, CC; Wang, CW; Chiu, WC; Tien, TS (2018). Managerial ability and corporate investment opportunity. INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS, 57, 65-76. (SSCI) |
期刊論文 |
2017 |
W.-C. Chiu, C.-W. Wang* and J. I. Peña (2017). Does the Source of Debt Financing Affect Default Risk?. Review of Financial Economics. (其他期刊) |
期刊論文 |
2017 |
C.-W. Wang*, W.-C. Chiu, and Tao-Hsien Dolly King (2017). Debt Maturity and the Cost of Bank Loans. Journal of Banking & Finance. (SSCI) |
期刊論文 |
2017 |
C.-W. Wang*, W.-C. Chiu, and J. I. Peña (2017). Effect of rollover risk on default risk: Evidence from bank financing. International Review of Financial Analysis, 54, 130-143. (SSCI) |
期刊論文 |
2017 |
Sofia B. Ramos, Helena Veiga, and Abderrahim Taamouti, C.-W. Wang (2017). Do investors price industry risk? Evidence from the cross-section of the oil industry. Journal of Energy Markets, 10(10), 79-108. (其他期刊) |
期刊論文 |
2017 |
W.-C. Chiu, C.-W. Wang*, W.-N. Wu, and C.-J. Lin (2017). The Impact of Rollover Risk and Firm’s Policy on Extreme Risk in the Taiwan Manufacturing Industry. Review of Pacific Basin Financial Markets and Policies, 20(20). (其他期刊) |
期刊論文 |
2017 |
Wei-Ning Wu, Chih-Wei Wang, Yi-Bin Chang (2017). Public Service Users’ Behavior, Service Satisfaction, and Citizens’ Attitudes toward Budgets Cuts. International Review of Management and Business Research, 6(1). () |
期刊論文 |
2016 |
W.-C. Chiu, C.-W. Wang*, and J. I. Peña (2016). Tail risk spillovers and corporate cash holdings. Journal of Multinational Financial Management, 36(36), 30-48. (其他期刊) |
期刊論文 |
2015 |
W.-C. Chiu, J. I. Peña, and C.-W. Wang* (2015). Industry Characteristics and Financial Risk Contagion. Journal of Banking & Finance, 50, 411-427. (SSCI) |
期刊論文 |
2015 |
W.-C. Chiu, J. I. Peña, and C.-W. Wang (2015). Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects. European Financial Management, 21(21), 833-866. (其他期刊) |
期刊論文 |
2014 |
W.-C. Chiu, H.-H. Lee. and C.-W. Wang (2014). Have Domestic Institutional Investors Become as Market Savvy as Foreign Investors? Evidence from Taiwan Options Market. Journal of Derivatives , 21(4), 63-81. (SSCI) |
期刊論文 |
2013 |
W.-C. Chiu, J. I. Peña, and C.-W. Wang* (2013). Do Structural Constraints of the Industry Matter for Corporate Failure Prediction?. Investment Analysts Journal, 78(42), 65-81. (SSCI) |
期刊論文 |
2013 |
Y.-J. Jou, C.-W. Wang, and W.-C. chiu (2013). Is the Realized Volatility Good for Option Pricing during the Recent Financial Crisis?. Review of Quantitative Finance and Accounting, 40(1), 171-188. (其他期刊) |
期刊論文 |
2010 |
Y.-J. Jou, C.-W. Wang, and W.-C. chiu (2010). Pricing SPX and DIX by HAR Models. International Journal of Computational Science and Engineering , 5(1), 10-20. (EI) |
研討會論文 |
2016 |
Chih-Wei Wang, Wan-Chien Chiu, Tao-Hsien Dolly King (2016). Debt Maturity and the Cost of Bank Loans. Tenth Annual Risk Management Conference, Singapore. |
研討會論文 |
2016 |
Chih-Wei Wang, Wan-chien Chiu, Juan Ignacio Pena (2016). The Effect of Rollover Risk on Default Risk: Evidence from Bank Financing. The 9th NCTU International Finance Conference, Taiwan. |
研討會論文 |
2015 |
Chih-Wei Wang, Wan-Chien Chiu, Juan Ignacio Pena (2015). The Effect of Rollover Risk on Default Risk: Evidence from Bank Financing. 23th SFM Conference, Taiwan. |
專書及專章 |
2014 |
王志瑋 (2014). Risk Factors in the oil industry: an upstream and downstream analysis. Ramos, Sofia B., Helena Veiga and C.-W. Wang The Interrelationship Between Financial and Energy Markets () . Springer |