Name | Chou-Wen Wang |
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Title | Professor |
Research Interests | Financial Engineering, High-dimensional Asset Model, Quantitative Investment and Program Trading, Mortality Model and Longevity Securitization, Dimension Reduction In Portfolio Selection,AI Big Data Analysis,Sustainable Finance,ESG Investment, Fintech ,Retirement Fund Management,Machine Learning |
Office | 管4096 |
Phone | 4827 |
chouwenwang@mail.nsysu.edu.tw |
Education | 2002, Ph.D., Money and Banking, National Chengchi University 1998, Master, Finance, National Sun Yat-sen University 1960, Bachelor, Management Science, National Chiao Tung University |
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Experience | 2023-06-30 ~ , School of Banking and Finance Institute of Golbal Asset Management, 所長 2021-08-01 ~ , Asia-Pacific EMBA, Class Teacher 2019-06-01 ~ , Hua Nan Financial Holdings, Director 2017-08-01 ~ 2023-07-31, National Sun Yat-sen University, Chair 2015-01-01 ~ , Taiwan Academy of Banking and Finance, 菁英講座 2013-08-01 ~ 2017-01-31, National Kaohsiung University of Science and Technology, Department of Finance , Professor 2013-04-01 ~ , Risk and Insurance Research Center, College of Commerce, NCCU, Research Fellow |
Administrative Positions | 2023-06-30 ~ , School of Banking and Finance Institute of Golbal Asset Management, 所長 2017-08-01 ~ 2023-07-31, Department of Finance, National Sun Yat-sen University, Chair
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Category | Year | Title |
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Journal Article | 2024 | Hung-Tsung Hsiao, Chou-Wen Wang, I-Chien Liu, Ko-Lun Kung (2024). Mortality improvement neural-network models with autoregressive effects. Geneva Papers on Risk and Insurance - Issues and Practice , 49, 363–383. (SSCI) |
Journal Article | 2024 | Yang Qiao, Chou-Wen Wang, Wenjun Zhu (2024). Machine Learning in Long-term Mortality Forecasting. Geneva Papers on Risk and Insurance - Issues and Practice, 49, 340–362. (SSCI) |
Journal Article | 2022 | Feng, Zhi-Yuan; Wang, Chou-Wen; Lu, Yu-Hong (2022). The Impact of Climatic Disaster on Corporate Investment Policy. JOURNAL OF MULTINATIONAL FINANCIAL MANAGEMENT, 66. (SSCI) |
Journal Article | 2022 | Wang, Chou-Wen; Liu, Kai; Li, Bin; Tan, Ken Seng (2022). Portfolio Optimization Under Multivariate Affine Generalized Hyperbolic Distributions. INTERNATIONAL REVIEW OF ECONOMICS & FINANCE, 80, 49-66. (SSCI) |
Journal Article | 2021 | 吳錦文、王昭文、黃振聰、田高銘 (2021). Empirical Study of Financial News Sentiment Classification: Evidence from Anue Financial News. Journal of Futures and Options, 14(3), 71-118. (TSSCI) |
Journal Article | 2021 | Wang, C. W., Zhang, J. G., & Zhu, W. J. (2021). Neighbouring Prediction for Morality. ASTIN Bulletin, 51(3), 689-718. (SSCI) |
Journal Article | 2021 | Lin, T. L., Wang, C. W., & Tsai, C.-L. C. (2021). Correlated age-specific morality model: an application to annuity portfolio management. European Actuarial Journal, 11, 413-440. (SSCI) |
Journal Article | 2021 | Kung, Ko-Lun; Liu, I-Chien; Wang, Chou-Wen (2021). Modeling and pricing longevity derivatives using Skellam distribution. INSURANCE MATHEMATICS & ECONOMICS, 99(1), 341-354. (SSCI) |
Journal Article | 2020 | Sharon S. Yang, Chou-Wen Wang, I-Chien Liu (2020). Analytic Formulae for Valuing Guaranteed Minimum Withdrawal Benefits in a Multi-Asset Framework. Journal of Financial Studies, 28(1), 1-25. (TSSCI) |
Journal Article | 2018 | Zhu, WJ; Tan, KS; Porth, L; Wang, CW (2018). Spatial dependence and aggregation in weather risk Hedging: A levy subordinated hierarchical archimedean copulas (LSHAC) approach. Astin Bulletin, 48(2), 779-815. (SSCI) |
Journal Article | 2017 | Wang, CW; Huang, HC (2017). RISK MANAGEMENT OF FINANCIAL CRISES: AN OPTIMAL INVESTMENT STRATEGY WITH MULTIVARIATE JUMP-DIFFUSION MODELS. ASTIN BULLETIN, 47(2), 501-525. (SSCI) |
Journal Article | 2017 | Wang, CW; Yang, SS; Huang, JW (2017). Analytic option pricing and risk measures under a regime-switching generalized hyperbolic model with an application to equity-linked insurance. QUANTITATIVE FINANCE, 17(10), 1567-1581. (SSCI) |
Journal Article | 2017 | Zhu, WJ; Tan, KS; Wang, CW (2017). Modeling Multicountry Longevity Risk With Mortality Dependence: A Levy Subordinated Hierarchical Archimedean Copulas Approach. Journal of Risk and Insurance, 84, 477-493. (SSCI) |
Conference Paper | 2019 | I-Chien Liu, Hong-Chih Huang, Chou-Wen Wang (2019). Modeling and Pricing Longevity Derivatives Using CBD Mortality Model withMultivariate Ane non-Gaussian Distributions. 23rd International Congress on Insurance: Mathematics and Economics (IME 2019), Germany. |
Conference Paper | 2019 | Chou-Wen Wang, Chin-Wen Wu, Po-Wen Su (2019). Smart Investment Strategies with Candlestick Convolutional Autoencoder. 23rd International Congress on Insurance: Mathematics and Economics (IME 2019), Germany. |
Conference Paper | 2019 | Chou-Wen Wang, Tzuling Lin (2019). Longevity Securitization with multivariate ane mortality model. 23rd International Congress on Insurance: Mathematics and Economics (IME 2019), Germany. |
Conference Paper | 2017 | Chou-Wen Wang, Tzuling Lin, Cary Chi-Liang Tsai (2017). Annuity Portfolio Management with Correlated Age-Specific Mortality Rates. 21st International Congress on Insurance: Mathematics and Economics - IME 2017, Australia. |
Conference Paper | 2016 | Chou-Wen Wang, Bin Li, Kai Liu, Ken Seng Tan (2016). Asset Allocation model under Multivariate Affine Generalized Hyperbolic Framework.. 2016 International Conference on Business and Information (BAI 2016), Japan. |
Book and Chapter | 2017 | Chou-Wen Wang (2017). 期貨與選擇權. 新陸書局 |
Year | Title |
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2023 | 補助國內大專院校購置「Eikon with Datastream for Office 財經資訊」資料庫專案. Ministry of Science and Techonology (112-2740-H-110-001-EDS) |
2022 | CSRone永續指數開發計畫. 致德國際股份有限公司 (15) |
2022 | 國立中山大學111年度秋季班金融創新產業碩士專班. 台新國際商業銀行股份有限公司 (8) |
2022 | 補助國內大專院校購置「Eikon with Datastream for Office 財經資訊」資料庫專案. Ministry of Science and Techonology (111-2740-H-110-001-EDS) |
2021 | 國立中山大學110年度秋季班金融創新產業碩士專班. 台新國際商業銀行股份有限公司 (8) |
2021 | 互動式極限梯度提昇演算法在長壽風險管理之運用. Ministry of Science and Techonology (110-2410-H-110-021-MY3) |
2021 | 補助國內大專校院購置「Eikon with Datastream for Office 財經資訊」資料庫專案. Ministry of Science and Techonology (110-2740-H-110-001-EDS) |
2020 | Research on Modeling and Data Source Optimization Model for Small and Medium Enterprise Credit Rating. Institute for Information Industry (N109077) |
2020 | Construction and Prediction of Multi-Country Mortality Models with Non-Gaussian Extreme Gradient Boosting. Ministry of Science and Techonology (109-2410-H-110-022-) |
2020 | 基金智能理財資訊服務產學合作案. 移通數碼科技股份有限公司 (N109004) |
2020 | 國立中山大學109年度秋季班金融創新產業碩士專班. Taishin International Bank (N109144) |
2019 | 國立中山大學108年度秋季班金融創新產業碩士專班. Taishin International Bank (N108112) |
2018 | Pension Fund Management: Longevity Securitization and Smart Beta Strategies. Ministry of Science and Technology, R.O.C (107-2410-H-110-010-MY3) |
2018 | 開辦大專院校金融講堂課程. Taiwan Stock Exchange Corporation (N105079) |
2018 | 理財資訊服務產學合作案. THIZLINUX INC. (N107067) |
2018 | 國立中山大學107年度秋季班金融創新產業碩士專班. Taishin International Bank (N107056) |
2018 | 開辦大專院校金融講堂課程. 臺灣證券交易所股份有限公司 (N107122) |
2017 | 國立中山大學106年度秋季班金融創新產業碩士專班. Taishin International Bank (N106044) |
2017 | Efficient Portfolio Dimension Reduction in Index Tracking and Enhanced Indexation: Smart Beta Score, Time-Varying Asset Return and Optimal Combination Rule. Ministry of Science and Technology, R.O.C (105-2410-H-110-089-MY2) |
2017 | FINANCIAL MANAGEMENT & RESEARCH. 安泰證券股份有限公司 (N106104) |
Year | Semester | Required / Selected | Department | Course Code | Course |
---|---|---|---|---|---|
112 | 2 | Required | EMBA | EMBA9006 | ANALYSIS IN ASIA-PACIFIC ECNOMIC AND TRADE ENVIRONMENT (二) |
112 | 2 | Required | EMBA | EMBA9005 | ANALYSIS IN ASIA-PACIFIC ECNOMIC AND TRADE ENVIRONMENT (一) |
112 | 2 | Required | EMBA | EMBA901B | ANALYSIS IN CORPORATE FINANCE |
112 | 2 | Selected | Department of Finance | FM505 | INVESTMENT THEORIES AND STRATEGIES |
112 | 2 | Selected | Department of Finance | FM613F | INDEPENDENT STUDIES(II) |
112 | 2 | Selected | College of Management | CM506 | FINANCIAL SERVICE AND FINANCIAL TECHNOLOGY CAPSTONE |
112 | 2 | Selected | Department of Finance | FM905 | THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT |
112 | 1 | Required | Department of Finance | FM401 | CASE STUDIES IN FINANCE |
112 | 1 | Required | Department of Finance | FM303 | INVESTMENT |
112 | 1 | Selected | College of Management | CM514 | FINANCIAL DATA ANALYSIS |
112 | 1 | Required | EMBA | EMBA997 | ANALYSIS IN GLOBAL ECONOMY AND TRADE |
112 | 1 | Selected | Department of Finance | FM617 | FINANCIAL INVESTING AND PROGRAM TRADING |
112 | 1 | Required | EMBA | EMBA975 | FINANCIAL INSTITUTIONS AND CAPITAL MARKETS |
111 | 2 | Required | EMBA | EMBA901B | ANALYSIS IN CORPORATE FINANCE |
111 | 2 | Selected | Department of Finance | FM803 | INVESTMENT THEORY AND EMPIRICAL STUDY |
111 | 2 | Selected | 跨院選修(管) | GEAI1438 | SEMINAR IN CURRENT FINANCIAL ISSUES (II) |
111 | 2 | Selected | Department of Finance | FM905 | THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT |
111 | 2 | Required | Department of Finance | FI502 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
111 | 2 | Selected | Department of Finance | FM114 | SEMINAR IN CURRENT FINANCIAL ISSUES (II) |
111 | 2 | Required | Department of Finance | FI501 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (I) |
111 | 2 | Selected | Department of Finance | FM613F | INDEPENDENT STUDIES(II) |
111 | 2 | Required | Department of Finance | FM545 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
111 | 2 | Selected | Department of Finance | FM506 | FINANCIAL MARKETS THEORY AND PRACTICE |
111 | 2 | Required | Department of Finance | FM912 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
111 | 2 | Required | Department of Finance | FI603 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (IV) |
111 | 2 | Required | Department of Finance | FI605 | INDEPENDENT STUDIES IN MASTER THESIS (II) |
111 | 1 | Selected | 跨院選修(管) | GEAI1457 | INTRODUCTION TO FINANCIAL MANAGEMENT |
111 | 1 | Required | Department of Finance | FI601 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (II) |
111 | 1 | Required | Department of Finance | FI604 | INDEPENDENT STUDIES IN MASTER THESIS (I) |
111 | 1 | Required | EMBA | EMBA997 | ANALYSIS IN GLOBAL ECONOMY AND TRADE |
111 | 1 | Required | EMBA | EMBA975 | FINANCIAL INSTITUTIONS AND CAPITAL MARKETS |
111 | 1 | Required | Department of Finance | FM303 | INVESTMENT |
111 | 1 | Selected | College of Management | CM406 | INTRODUCTION TO FINANCIAL MANAGEMENT |
111 | 1 | Selected | Department of Finance | FM617 | FINANCIAL INVESTING AND PROGRAM TRADING |
111 | 1 | Selected | Department of Finance | FM616 | THE DEVELOPMENT OF FINTECH SERVICES |
111 | 1 | Required | Department of Finance | FI602 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (III) |
110 | 2 | Required | EMBA | EMBA9004 | ANALYSIS IN ASEAN MARKET AND TRADE ENVIRONMENT(IV) |
110 | 2 | Required | Department of Finance | FM912 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
110 | 2 | Required | Si Wan College | GEAE2429 | INTRODUCTION TO ARTIFICIAL INTELLIGENCE |
110 | 2 | Required | Department of Finance | FM545 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
110 | 2 | Required | Department of Finance | FI501 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (I) |
110 | 2 | Selected | College of Management | CM506 | FINANCIAL SERVICE AND FINANCIAL TECHNOLOGY CAPSTON |
110 | 2 | Required | Department of Finance | FI605 | INDEPENDENT STUDIES IN MASTER THESIS (II) |
110 | 2 | Required | Department of Finance | FI502 | CURRENT FINANCIAL PROBLEMS ANALYSIS |
110 | 2 | Required | EMBA | EMBA9005 | ANALYSIS IN ASIA-PACIFIC ECNOMIC AND TRADE ENVIRON |
110 | 2 | Required | Department of Finance | FI603 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (IV) |
110 | 2 | Selected | Department of Finance | FM905 | THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT |
110 | 2 | Required | EMBA | EMBA901B | ANALYSIS IN CORPORATE FINANCE |
110 | 1 | Required | Department of Finance | FM303 | INVESTMENT |
110 | 1 | Selected | Department of Finance | FM616 | THE DEVELOPMENT OF FINTECH SERVICES |
110 | 1 | Required | EMBA | EMBA975 | FINANCIAL INSTITUTIONS AND CAPITAL MARKETS |
110 | 1 | Required | Department of Finance | FI601 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (II) |
110 | 1 | Selected | Department of Finance | FM704 | ECONOMETRICS (I) |
110 | 1 | Required | EMBA | EMBA9003 | ANALYSIS IN ASEAN MARKET AND TRADE ENVIRONMENT(II |
110 | 1 | Selected | Department of Finance | FM617 | FINANCIAL INVESTING AND PROGRAM TRADING |
110 | 1 | Required | Department of Finance | FI602 | PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (III) |
110 | 1 | Required | EMBA | EMBA997 | ANALYSIS IN GLOBAL ECONOMY AND TRADE |
110 | 1 | Required | Department of Finance | FI604 | INDEPENDENT STUDIES IN MASTER THESIS (I) |
Year | Title | Awarding Organization |
---|---|---|
2021 | 產學研究績優教師 | National Sun Yat-sen University |
2020 | 產學研究績優教師 | 國立中山大學 |
2019 | 產學研究績優教師 | 國立中山大學 |
2018 | 國立中山大學新進教師獎勵 | 國立中山大學 |
2017 | 國立中山大學新進教師獎勵 | 國立中山大學 |
Period | Activity | Description | Role |
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