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Proceedings of the 9th (2017) International Conference on Financial Risk and Corporate Finance Management

  • 定价:200.00
  • 作者:Wu Yangru, Li Yanxi,Yao Feng
  • 书号:978-7-89437-175-1
  • 丛书名:
  • 千字:922
  • 页数:448
  • 开本:
  • 出版日期:2017.7
  • 装帧:
  • 版次:
  • 备注:
详细信息
The 9th (2017) International Conference on Financial Risk and Corporate Finance Management, sponsored jointly by Faculty of Economics of Kagawa University and Faculty of Management and Economics of Dalian University of Technology (DUT), has been held at Kagawa University in Japan from 1 July to 3 July, 2017. The conference appointed Professor Wu Yangru, an eminent expert in finance at Rutgers, The State University of New Jersey, USA, as director of academic committee, and appointed Professor Yao Feng from Faculty of Economics, Kagawa University, Japan and Professor Li Yanxi from Faculty of Management and Economics of DUT, China as co-chairmen of organizing committee. More than 70 international scholars in financial risk and corporate finance attended this conference. During the conference, there were 10 experts making keynote presentations and 8 scholars making brief presentations.
作者简介

Director:

WU Yangru

Prof., Rutgers Business School, The State University of New Jersey

Vice Directors:

LI Yanxi

Prof., Faculty of Management and Economics, DUT

YAO Feng

Prof., Faculty of Economics, Kagawa University, Japan

Day-yang LIU

Prof., National Taiwan University of Science and Technology

Wuchun CHI

Prof., National Chengchi University

Daniel CHI

Tenured Associate Prof ., University of Nevada, Las Vegas, USA

Kunchih CHEN

Assistant Prof., National Taiwan University

FU Yuanlue

Prof., School of Management, Xiamen University

CHI Guotai

Prof., Faculty of Management and Economics, DUT

QIN Xuezhi

Prof., Faculty of Management and Economics, DUT

AN Hui

Prof., Faculty of Management and Economics, DUT

CHENG Liwei

Prof., Faculty of Management and Economics, DUT

ZHENG Zhenxing

Prof., School of Accounting and Finance, Hong Kong Polytechnic University

HUI Xiaofeng

Prof., School of Management, Harbin Institute of Technology

CHENG Xinsheng

Prof., Business School, Nankai University

ZHANG Xianzhi

Prof., Accountancy College, Dongbei University of Finance and Economics
图书目录

  1. HUI Xiao-feng, LI Zhuo-qing, GU Wan-qi


  2. A Literature Review on Accounting Statements and Financial Risk

  3. ZHANG Qiluan

  4. A Study on Regional Differences in the Influential Factors of Capital Structure in Agricultural Listed Companies

  5. GUO Huiping , DAI Pengjun

  6. A Study on the Adjustment of Capital Structure of Agricultural Listed Companies Based on Panel Data

  7. GUO Huiping, DAI Pengjun

  8. An Appraisal of Business Risk With Financial and Nonfinancial Index

  9. —Empirical test on strategic emerging enterprises in China

  10. CUI Yanjuan, SUN Bo, WANG Yushan, Md. Nur Alam Siddik

  11. Analysis on Abnormal Fluctuation of the Chinese Stock Market in 2014-2015

  12. Based on Studies on the Excessive Volatility and the Stock Market Bubble

  13. DONG Liang, ZHOU Ning

  14. Asymptotic Solution for Constant Elasticity of Variance Model

  15. YAN Yue, YING Yirong

  16. Board Independence, Accounting Conservatism, Investments Opportunity

  17. —Empirical Evidence from Chinese Listed Companies

  18. LUO Jin,LI Yanxi

  19. Can Media Coverage Improves the Financial Reporting Quality of Listed Companies?

  20. BA Xuebing

  21. Can Media Stimulate Corporate Environmental Investment?

  22. WANG Yun, LI Yanxi, HE Chao

  23. Capital Account Openness and Financial Stability:

  24. Empirical Analysis Based on the Data of China between 1998 and 2015

  25. AN Hui, FU Tuo, WANG Linlin

  26. Causal Analysis of Hong Kong Stock Market

  27. YAO Feng, DAI Shugeng, LI Yao

  28. Development and Validity Test for the Scale of Perceived Team Faultlines Strength

  29. JIANG Yang , CHEN Shuwen

  30. Does Debt Serve as Resistance against Governmental Interference?

  31. —Evidences from Chinese Local State-own Enterprises

  32. WANG Dehong

  33. Does Economic Freedom Stimulate Non-Life Insurance Industry in ASEAN-5 and China?

  34. LEE Hui Shan, CHONG Shyue Chuan, SIA Bik Kai, CHEONG Wah Wan .....88

  35. Empirical Analysis of the Interaction between Sino-foreign Relations and China’s Outward Foreign Direct Investment

  36. LIU Yadi, LIU Xiaohui

  37. Empirical Research on Different Types of Institutional Investors’ Effects on Market Efficiency

  38. LIU Yanping, WANG Danni

  39. Equipment Manufacturing Industry Risk Warning under the View of “Internet Plus”

  40. XU Xiaofei, CUI Yanjuan

  41. Executive Compensation, Mandatory turnover and Corporate Performance

  42. SHI Jinyan, CHEN Tingting

  43. Executive Compensation, Negative Market Reaction and Earnings Manage­ment

  44. YAO Hong, ZHANG Yingxin,CHEN Qingqing

  45. Factor Decomposition and Strategic Choice of New Energy Industry in Liaoning Province under the Economic Growth

  46. SHENG Liying, JIANG Xue, QI Na

  47. Factors Affecting Internet Word-of-mouth Dissemination Intention Under the Environment of Electronic Commerce

  48. DAI Zhuo, LI Zaiyue

  49. Factors Affecting the Probability of being Funded on Online P2P Lending Platform: An Empirical Investigation

  50. LI Meng, WAN Tiantian

  51. FDI Forecasting in View of Big Data

  52. XU Xiaofei

  53. Financing Difficulties and Countermeasures of Small and Micro Enterprises under the Background of the Internet

  54. XU Lijun, FU Qianqian, WANG Xiaojun

  55. Function Mechanism of Corporate Tax Incentive on R&D Investment

  56. LIU Jingjian, ZHAO Gexin, ZHANG Jingjing, MA Xiaohan

  57. Heterogeneity of Cultural Capital and The Efficiency of China’s Economic Growth

  58. LI Juanwei, GANG Cuicui

  59. Impact of The Herd Effect to The Marketing Strategy of The Private Car Firms

  60. SHAO Xiaoshuang, TAN Deqing

  61. Inquiry of Internet Financing to Crack Financing Dilemma for Micro, Small and Medium Enterprises

  62. XU Lijun, LI Aihua, JIN Yongli

  63. Interest Rate Risk Management of Commercial Banking

  64. WU Mingqi

  65. Internationalization of RMB and China’s Foreign Economic Policies: Risk Control and Realization Path

  66. LI Li

  67. Investigation Study on Innovation Practices of Small and Medium-Sized Enterprises

  68. XU Haifeng, CHEN Cunxin

  69. Investor Sentiment Contagions and Stock Market Crisis

  70. LIU Yanping, YU Ran

  71. Issues and Challenges to Small and Medium Enterprises in India

  72. Jameel Mulani, ZHANG Shijie, CHI Guotai, Shridhar Katakdhond

  73. Management Performance Evaluation Research of Listed Media Companies Based on a New Model

  74. BAI Dan, YOU Shuqin

  75. Market Connectedness and Risk Spillover Based on Data from China During Post-Crisis Era

  76. LIU Chao,XU Junhui, ZHOU Wenwen

  77. On regularized mean-variance-CVaR-skewness-kurtosis portfolio selection strategy

  78. ATTA MILLS Fiifi Emire Ebenezer, YU Bo, YU Jie

  79. Price Discovery in Stock Index Futures and Spot Markets under Tightened Trading Rules

  80. LI Xueyan

  81. Pricing Extreme Mortality Bonds with Default Risk

  82. SHANG Qin, LI Longxin

  83. Regional disparity of institutional environment on capital structure and speed of adjustment: empirical evidence from China

  84. ZHANG Min, ZHANG Xia

  85. Regulation Encourage Corruption?

  86. —Empirical Study Based on Provincial Panel Data

  87. XU Lei, ZHAO Qian

  88. Research Hotspot and Trend of Enterprise Efficiency in China Based on Co-word Network

  89. ZHANG Yuemei, ZHOU Qian

  90. Research on Diversification and Performance of Agricultural Listed Companies

  91. SHEN Yanli

  92. Research on Influencing Factors of Customer Satisfaction about ICBC O2O Integration

  93. WANG Yanhong, LIU Qiong, GAN Qing, JIAO Yueqi

  94. Research on the relationship between continuous operation audit opinion and bank credit decision

  95. GUO Yan Ping

  96. Risk Analysis of Financial Market Agents Under Loose Monetary Policy

  97. ZHANG Jiaying

  98. Risk Analysis of Life Insurance Investment Under the Influence of Investor Emotion Based on CVaR-Copula Model

  99. WANG Heyan, XIE Jun

  100. Risk and Management of Robo-Advisor in China Security Market

  101. DU Yulin

  102. Study of Scientific and Technological Achievements Evaluation System in Jinpu New Area

  103. SUN Jihui, ZHI Linlan

  104. Study on the Relationship between Carbon Emissions and China’s Export

  105. XU Xueliu, WANG Qian, MU Mingjie, Didaer

  106. Tail Dependence in Copper Future Prices Based on a Conditional Multivariate Extreme Value Model

  107. GUO Ming, QIN Xuezhi

  108. Technical Inefficiency Factor Analysis Model Based on Multiple Non-negative Random Variables: A Case Study of China’s General Universities

  109. FENG Baojun, SHEN Jiakun, ZHANG Wenlong

  110. The Business Strategy, Ownership and Risk-taking

  111. ZHANG Xianzhi, LIU Zhinan

  112. The Characteristics of Industrial Firms’ R&D Investment Structure

  113. Based on the Comparison of Worldwide Firm-level Data

  114. LI Qiaochu, CHENG Liwei

  115. The Effect of Corporate Governance Structure on Financial Risk

  116. —Empirical Evidence Based on Agricultural Listed Companies

  117. HUANG Xiaobo, DUAN Wenle, WANG Hui

  118. The Effect of Enterprise Internal Characteristics on Financing Structure of Family Business among Different Life Stages

  119. SUN Xiufeng, ZHANG Shiping, WANG Xuemei

  120. The Heterogeneity in Accounting Information and Executive Compensation: Evidence from China

  121. JIANG Tao, XU Yue, LIU Yunguo

  122. The Impact of Political Connections on Debt Restructuring

  123. —An empirical analysis of listed companies based on A shares

  124. WU Haowen, LIANG Si

  125. The Influence of Institutional Investors on Listed Companies’ SEO Decision

  126. -Based on the research of China’s A-share listed companies

  127. ZHAO Wenjun, LU Haizhou

  128. The Information Disclosure of Internal Control, Market Reaction, and Investor Return

  129. LIU Bin, WU Xihao

  130. The Management Risk and Countermeasures of Small and Medium Sized Commercial Banks under the Interest Rate Liberalization

  131. LIU Chongming, CHAI Yitong

  132. The New Single Loan Pricing Model with Control of Total Loan Portfolio Default Risk

  133. ZHAO Zhichong, CHI Guotai, LI Yunhuan

  134. The Nexus between RMB Exchange Rate Expectation and Domestic Stock Market Return

  135. SHI Kai, NIE Li

  136. The Research of Household Asset Allocation Model Based on Life Cycle Theory

  137. LIU Yan-wen, YANG Ye-qing

  138. The Research of Laboratory Experiment on the Basis of the Student Subjects

  139. WANG Limin, WANG Ye, LI Xiaojing, ZHOU Zheng

  140. Theoretical and Empirical Analysis on the Impact of Agricultural-insurance on Agricultural Credit Market

  141. ZHANG Jianbo, CAO Xueyi, WANG Yufen

  142. Theory and Practice of Business Ethics and World Trade Organization On Millennium Development Goals

  143. DEVI Swastika, NAN Xiaoli

  144. Voluntary Disclosure Influencing Factors:

  145. Evidence From the “Hudongyi” Social Platform

  146. WANG Bing , PAN Yan

  147. With the Shanghai-Hong Kong Stock Connect program:

  148. A research on the volatility spillover effect of Shanghai and Hong Kong stock market



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