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Proceedings of the 5th (2013) International Conference on Financial Risk and Corporate Finance Management

  • 定价:218.00
  • 作者:Wu Yangru, Li Yanxi
  • 书号:978-7-89437-063-1
  • 丛书名:
  • 千字:
  • 页数:850
  • 开本:
  • 出版日期:2013
  • 装帧:
  • 版次:
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详细信息
The 5th International Conference on Financial Risk and Corporate Finance Management, sponsored by Faculty of Management and Economics, Dalian University of Technology, will be held in Dalian, during June 29 to June 30, 2013. Wu Yangru, a well-known expert in finance from Rutgers-the State University of New Jersey, serves as the director of the scholarship committee. Li Yanxi, professor in financial management, is the chairman of the organizing committee. More than 240 scholars at home and abroad in financial risk and corporate finance will attend this conference. During the conference, 10 experts will give speeches and about 60 scholars will report their research findings. The conference are supported by China Postdoctoral Science Foundation and National Natural Science Foundation of China, we express our great gratitude!
作者简介

Director: WU Yangru

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

Vice Director:

LI Yanxi

Prof., Faculty of Management and Economics, Dalian University of Technology

LI Weiping

Prof., Oklahoma State University, USA

ZHU Shiwu

Prof., School of Economics and Management, Tsinghua University

ZHENG Zhenxing

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

WAN Junmin

Prof., Fukuoka University, Japan

ZHANG Ying

Associate Prof., Fairfield University, USA

CHI Jianxin

Assistant Prof., Arizona State University, USA

MU Rongping

Prof., Institute of Policy and Management, Chinese Academy of Sciences

YU Hongchun

Prof., Bank of Dalian Co., LTD

CHI Guotai

Prof., Faculty of Management and Economics, Dalian University of Technology

QIN Xuezhi

Prof., Faculty of Management and Economics, Dalian University of Technology

An Hui

Prof., Faculty of Management and Economics, Dalian University of Technology

CHENG Liwei

Prof., Faculty of Management and Economics, Dalian University of Technology

HUI Xiaofeng

Prof., School of Management, Harbin Institute of Technology

CHENG Xinsheng

Prof., Business School, Nankai University

FU Yuanlue

Prof., School of Management, Xiamen University

ZHANG Xianzhi

Prof., Accountancy College, Dongbei University of Finance and Economics

XING Tiancai

Prof., School of Finance, Dongbei University of Finance and Economics

LIU Yongze

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

  1. Huang Jie


  2. A DEA-based Study on the Operation Efficiency  of the Listed Knowledge-intensive Business Service Companies in Beijing

  3. Wang Hui, Zhang Rongxia, Kang Chunpeng

  4. A Design of Household Finance Decision Model-Based on The Risk Matching Principle of Assets and Liabilities

  5. Wang Jing, Chen Nana

  6. A Disequilibrium Dynamic Monetary Economic Model

  7. LI Wu

  8. A Mathematical Research on the Long-term Rate of Return of Holding Risk Assets

  9. Wang Xuefeng, Zhang Jing

  10. A New Method for Analysis of the Performance of a listing Corporation

  11. Jiang Chengfei, Liu Hefei

  12. A Research on Hong Kong Growth Enterprise Market Withdrawal Mechanism

  13. Wang Teng, Zhang Ying

  14. A Research on Inefficient Investment from the Perspective of Scale Economy

  15. Zhang Yuemei, Han Yaowei

  16. A Review of Brand Experience

  17. Song Mingyuan, Xiao Hongjun

  18. A Review of Institutional Investor Sentiment Index

  19. Liu Yanping, Hou Lijuan

  20. A Simulation Model of Stock Market

  21. Luo Qixuan, Ai Mingfang, Li Handong

  22. A Study of Innovation Financing Channels of Small and Medium-sized Enterprises

  23. Li Yulan

  24. A Study on Delisting Criteria in China’s Stock Market

  25. LI Jimin

  26.         

  27. A Study on the Education Cost Efficiency of Chinese Research-oriented Universities

  28. A Study on the Relevance of Debt Maturity Structure to Inefficient Investment Behavior under the Financial Crisis

  29. Wang Jiawei , Sun Xiufeng , Feng Baojun

  30. A Study on the Run-in Process of Sustainable Innovational Corporate Culture in Research Joint Ventures

  31. Wang JingWu BoYan Shuai

  32. A Survey on the Effects of Corporate Governance to R&D

  33. Zhao Xingang

  34. An Empirical Research of Influence Fact on China’s Energy Efficiency

  35. Yu Kai, Wu Bo, Yan Shuai

  36. An Empirical Research of Investment—cash Flow Sensitivity of Chinese Listed Companies on the background of financial crisis

  37. Zhu Xiaoyou, Lu Qingchun

  38. An Empirical Research on the Effects of Debt Maturity Structure on Conditional Conservatism—Evidence from Private Listed

  39. Du Xiaorong , Wu Xiaojie

  40. An Empirical Research on the Relationship Between Credit Rating and Stock Returns

  41. Wang Yong, Jiang Shan

  42. An Empirical Study of the Relationship between FDI and Economic Growth in Zhejiang

  43. Liu Feng , Lu Yuduo , Yu Jiao, Zou Fei

  44. An Empirical study on the Financial Demand of Shandong Province—Basic on the survey of households

  45. Bai Ruifeng, Wang Bei, Wang Ning, Zhao Shuting

  46. An Ethical Analysis of the Corporate Governance of  Commercial Banks

  47. Zhu Degui, Liu Weiwei

  48. Analysis Of Factors Affecting Financing mode Of Small&Micro—enterprises In Jilin Province

  49. Lu Hongjie , Zhang Jiacheng , Zhang Yuhang

  50. Analysis of Influencing Factors for Credit Risk of China Real Estate Companies Based on Logistic Model

  51. Liu Qiong, Zhang Weiwei

  52. Analysis on Multifractal Characteristic of Volatility in Shanghai Stock Market

  53. Xue Hao, Li Handong

  54. Can Subprime Crisis Affect the Price Difference of Futures Contracts with Different Maturity Dates

  55. Shen Hong

  56. Chinese Photovoltaic Companies Financial Distress and Countermeasures in 2012

  57. Liu Chongming, He miaoya

  58. Cointegration on Relationship of Port Logistics and Economic Development in the Coastal Region of Jiangsu Province——a Case Study of Lianyungang

  59. Li Zhengfeng, Lu Yuduo

  60. Competition, Incentives, and Risk-Taking in Banking A Survey

  61. Ma Qingkui, Pang Guowei, Fan Lingzhi   

  62. Completing Performance Evaluation System for Technical Service Employees based on Competency Model

  63. Wang Yan, Zhong Yongle

  64. Complex Network Statistics and Dynamic Stability of Shanghai A-share’s Earning Ratio

  65. Ma Zhuang, Gu Jing, Huang Feixue

  66. Cross-border Mergers and Acquisitions of Commercial Banks Based on Strategic Perspective— Case Study of ICBC

  67. Song Jianbo , Liu Yiying

  68. Currency Regionalization and Promotion of RMB Capital Account Convertibility

  69. Liu Xuemei

  70. Design of A Modularized Weather Index Insurance Product System

  71. Sun Wuhan, Qin Xuezhi

  72. Determinants of Housing Price on both the Long-term Trend and the Short-term FluctuationPanel Data of 35 China Cities

  73. An Hui, Wang Liting, Dou Jun

  74. Discussion on the financial supervision system in China

  75. Wang Yuhong, Hu Yanling       

  76. Dispersion Trading and Determinants of Implied Volatility Evidence from Australia

  77. Li Jialong, Li Bowei, Liu Min

  78. Do Debts Act as Tools for Local State-owned Companies to Resist Local Government Intervention in China

  79. Wang Zhi

  80. Does The Independent Director System Really Work ?—Based on the Comparison of Two Types of Earnings Management Activities

  81. Wang Yuanlan, Zhang Xiaohong, Yao Hong

  82. Does the Managerial Risk Preference Influence Earnings Management of Chinese Listed Companies

  83. Wang Yang, Zheng Chunyan, Han Weihe

  84. Economic Intermittency in a Two-Country Model of Business Cycles Coupled by Investment under Capital Account Liberation

  85. Guan Huicui, Lu Wenjun, Ying Yirong

  86. Empirical Analysis on the Relationship between Industry Capital Allocation Efficiency and Finance Market in Hubei Province

  87. Yin Guangjun, Wang Tianlun

  88. Empirical Research on Financial Risk Identification of Chinese Listed Companies Based on SOM Neural Network Model

  89. Li Guangrong, NiuXiuhong

  90. Empirical Research on the Relationship among Science-and-Technology FinanceEcological Environment and Economic set Dalian as an Example

  91. Growth Zhao Xia , Xu Xiaofei, Cui Yanjuan

  92. Empirical Study on Institutional Ownership Preference for Listed Company's Profitability and Governance Structure

  93. Li Jing

  94. Enlightenment on Operation and Risk Prevention of Municipal Bond

  95. Ma Hui, Chen Tian

  96. Estimating Risk Appetite of Investors by Financial Market Model

  97. Zheng Xingchen

  98. Evaluation of Customer Value Contribution for Commercial Banks and Customer Classification Research

  99. Lv Liang, Ma Ying

  100. Financial Development, Energy consumption and Industrial Structure-Empirical analysis with the case of Xinjiang, China

  101. Yi Qingtao, Cui Yanjuan, Yang Weihua, Dai Dashuang

  102. Financial Strategy Based on Enterprise Sustainable Development

  103. Zhao Xue, Tai Xiaohong

  104. Financial Support and Risk Control in Resettlement of Climate Migrants

  105. He Zhiyang, Zhang Mengjia

  106. Game analysis of OptimalProportional Reinsurance under complete information

  107. Jing Huanle, Qi Yongjun

  108. Government Intervention, Agency Costs and Efficiency of Merger and Acquisition Integration

  109. An Empirical Analysis of Chinese Listed Companies

  110. Tian Manwen , Yan Shurong

  111. Impact of Financial Crisis upon Chinese Capital Market Efficiency—An Empirical Study based on Three-factor Model

  112. Zhang Dahai

  113. Impact of shadow banking on the future development of the commercial banks

  114. Zhang Haiyun, Zhang Yu

  115. Inequality Aversion and CorporateR&D Investment Decision

  116. Tu Jing, Wang Xinxin

  117. Influence of Internal Governance Structure on Stock Liquidity Moderated by Information Disclosure

  118. Liu Jingjian, Peng Yayong, Guo Wenli, Liang Xianjin,

  119. Jiao Huaidong

  120. Institution Environment and Earnings Management Based on Dynamic Panel Data with System GMM Estimation

  121. Chen Kejing, LI Yanxi

  122. Interest rate marketizationwhere should small and medium-sized banks

  123. Ge Lina, Zhang Yuansheng

  124. Iron ore cartel

  125. Qian Cheng, Zhou Jing    

  126. Long Memory of the Realized Volatility for Shanghai Stock Composite Index

  127. Li Liu, Li Handong

  128. Management  of  Individual  Financial  Risk

  129. Yang Jing

  130. Management of local government financing platform and risk prevention and control of commercial banks

  131. Liu Xiao

  132. Management System Optimization of Accounts Receivable Based on Information Technology

  133. Yuan Fenglin

  134. Measurement of the Financial Stability in China

  135. Li Juan

  136. Measures to Manage the Scale Risk and Structural Risk of Foreign Exchange Reserves

  137. Niu Ruifang

  138. Media Coverage and Accounting Conservatism-the Empirical Research Based on Listed-Enterprises of Our Country

  139. Zhang Jiaxuan, Guo Qi, Chang Huan

  140. Operational complexity, power balance with shareholder structure and synchronicity

  141. Zhang Bin, Ji Fengzhu

  142. Overview on the Islamic Banks Operations

  143. SARA Bouriouche, Ying Zhang

  144. Performance Evaluation of China’s  Open-end Stock Fund—Based on APT Three Factor Model

  145. Liu YifangHuang ZhengLi Jiangna

  146. Pyramidal Structure, the Separation of Two Rights and Capital Structure—Based on the China's Listed Family Companies

  147. Zhou Ying, Li Shouying

  148. Quality of Earnings Analysis—Based on Ford Motor Corporate

  149. Wang Hui, Zou Menghui

  150. Reaserch on Improved ART-2 Neural Network in Enterprise Group Credit Risk Identification

  151. Li Guangrong, Qiao Yina

  152. Regional Intellecutal Capital and Regional Economic Development—An Empirical Research Based on Liaoning Province

  153. Zhao Wenjun, Wang Shuyi

  154. Research about Our Medium-sized and Small Enterprises Financing Present Situations and Countermeasures

  155. Xu Lijun , Luo Kun , Sang Juan

  156. Research of RMB Exchange Rate Forecasting based on NARX Model with NDF

  157. Wang Nan, Hou Tieshan

  158. Research on Enterprise Supportive System of Responding to Anti-dumping Accounting Under Financial Crisis

  159. Wu Aili

  160. Research on Financial Warning Model Based on Two-stage Discrimination Method

  161. Pu Yan, Wang Hefeng

  162. Research on Internal GovernanceStructure of Agricultural Listed Companies

  163. Huang Xiaobo, Wu Yanmei, Gao Xiaoying

  164. Research on Strategies to Manage Risks of Private Financing for Small and Medium Manufacturing Enterprises

  165. Yu Liping, Tian Shuge, Xia Zhijie, Wang Bingbing

  166.  

  167. Research on Strategy of Commercial Bank Risk-taking Behavior and Capital Regulation -Based on Signal Game

  168. Liang Yan, Fang Shida, Dong Weigang

  169. Research on the Control of Personal Credit Risk in Commercial Banks in China

  170. Wang Baoqian , LI Yong

  171. Research on the development strategy of the electric power industry financial holdings

  172. Wang Baoqian, Miao Jing

  173. Research on the Impacts of the RMB Exchange Rate’s Fluctuation on Investments—Based on the Manufacturing Sector and its Sub-Industry

  174. Gu Yu, Zhu Shu, Zhai Yuna

  175. Research on the Inner Relationship between Chinese Economic Growth and Energy Consumption

  176. Zhang Qiluan, Zeng Weiqiang

  177. Research on the Local Government Promoting Sci-Tech Finance Based on SEM Model —A case study on Jiangsu Province

  178. Shen Hong

  179. Research on The Service Efficiency of University Research Appropriations

  180. Feng Baojun, Song Jingfang

  181. Research on the Situation of The SME Business Management of Funds and Countermeasures

  182. Cui Bin, Tai Xiaohong

  183. Ripple Effect Analysis of the Changes in China Regional Financial Structure

  184. Wang Yi

  185. Security Contract Design under Asymmetric Information

  186. Zhang Yu, Han Weihe      

  187. Simulation Analysis of Sci-tech Finance Policy Under the Framework of General Equilibrium-Construction of a sci-tech credit CGE model and its application in Beijing

  188. Zhang Lingkan

  189. Some Discussions on Credit Risk of Supply Chain Finance in Commercial Banks

  190. Chen Liang, Li Jingyi

  191. Strategic Budgeting Control System Theory and Evidence from China Company

  192. Fu Yuanlue, Chen Fu

  193. Strategies of Commercial Banks to Carry out Sci-tech Finance—Taking Dalian Area as an Example

  194. Ma Ying, Xu Mingsheng

  195. Study of Cloud Computing Service Provider Selection Risk for Small and Medium-sized Enterprises Based on System Dynamics

  196. Li Enlin

  197. Study of Currency Flows Based on the Input-Output Model

  198. Wang Xuefeng , Ding Wenfeng        

  199. Study of the Influence of Reporting Format on Commercial Banks

  200. Zhang Ying, Zhang Jingyuan, Zheng Yunlin

  201. Study on Agency Costs of Government Venture Capital Guide Fund

  202. Li Zhe, Li Li

  203. Study on Building an Effective Path of Competence for Commercial Bank Staff with BARS Method

  204. Wu Zhonghai, Liu Xin

  205. Study on mechanism of integration with virtual integration technology incubator and venture capital

  206. Sun Jihui, Du Jinfeng

  207. Study on Pricing Look back Option with Bonus under the CEV Model

  208. Zheng Xiaoyang, Pang Baoquan

  209. Study on the Chinese Customers’ Adoption Intention about Self-service Banking

  210. Wang Rishuang, Liu Debin, Xu Mingsheng

  211. Study on the Development of International Factoring Business

  212. Li Li, Li Zhe      

  213. Study on the Equipment Economic Life-Span and its Uniqueness

  214. Wang Yanfang, Zhou Xiaojie   

  215. Study on the Factors of Assets Impairment of Small and Medium-sized Listing Corporation—Based Empirical Data from SME Board

  216. Guo Yanping

  217. Study on the Immunization of Interest Rate Risk of the Investment in Government Bond with the Short Selling Mechanism——Based on the Nelson-Siegel Model

  218. Yang Wanqian, Cheng Liwei

  219. The Analysis of Coping with Low-carbon Barriers on China’s Textile and Clothing Trade with Game Theory

  220. Zhao Dinglu, Wu Bo

  221. The Application in Option Pricing of Monte Carlo Imitating Method of Weighting Sample

  222. Liu Hefei, Zhang Bo

  223. The Choice of the Financing Way of Overseas Mergers and Acquisitions-Research Based on Cases

  224. Yao Hong, Hao Xiaoyu

  225. The Construction and use of liability operation evaluation system

  226. Yang Chunli, Peng Zhao, Li Qiong

  227. The Construction of EnterpriseInternal Control System under the Risk Management

  228. Cai Yanjiao

  229. The Correlation Research of Chinese Stock Index Futures and Stock Index Spot

  230. Wang Jing, Du Jia

  231. The Crisis and Risk Management behind Chinese Credit Card Enclosure

  232. He Shaotian, Qiu Lisheng

  233. The cyclical behavior of Chinese bank capital buffers

  234. Li Haihong , Li Gang        

  235. The Decision-making Research of the Family Financial Investment Based on the Improvement of Black–litterman

  236. Liu Yanwen, Hao Shouchao

  237. The Demonstration Research on Local Value Creation Ability in Home and Abroad Enterprise Union

  238. Yuan Yi Jun, Zhang Zaiqun, Geng Dianhe

  239. The docking between bank financing services with supply chains and ERP system on a basis of SAP

  240. Zhang Ge, Dong Qi

  241. The Effect of Organization Justice on the Relationship between Formal and Informal Institutions

  242. Zhou Zuowei, Fa Hongliang

  243. The Effect of Split-share Structure Reform on Cash Dividend Behavior of Listed Companies in China

  244. Based on Difference-in-Differences Method

  245. Liu Yan, Wang Hui, Chen Tao, Zhang Rongxia

  246. The Evolution of Ownership Structure under Traditional Corporation Governance Modes

  247. From Perspective of Transaction Cost

  248. Jia Xin

  249. The Exchange Rule in a Fixed Price Exchange Economy

  250. Li Wu       

  251. The Expected Discounted Penalty Function for Poisson-Geometric Risk Model Perturbed by Diffusion

  252. Li Jinzhi, Liu Haiying

  253. The exploration for preventing modern financial crises

  254. Zhong Erhao, Zhu Lili      

  255. The Financial Risk Prediction Based on the VaR Model

  256. Take the Stock Investment as an Example

  257. Wang Yan, Yang Fangwen

  258. The Impact of Asset Quality and Capital Supervision on Credit Expansion of Commercial Banks in China

  259. Zou Zongsen

  260. The Impact of Scenarios on Implementation of Unconventional Emergency Based on SD Branch Vector Matrix Approach

  261. Cui Li, Zhong Qiuyan, Liu Zhenhua

  262. The improved genetic algorithm for job-shop scheduling problem with process sequence flexibility

  263. Ma  Xueli  , CaoDebi, Liu Xiaobing

  264. The Information Content of Comprehensive Earnings in the OTC market

  265. Liu Bin, Xu Mingsheng, Zhang Tongbin

  266. The life cycle of the university of science and technology enterprises and financial strategy research

  267. Wang Junqing

  268. The Listed Company Financial Derivatives Risk Management

  269. Liu Jian , Tan Xin     

  270. The Market Timing and Selectivity of Investment Funds

  271. Zhong Tingyong, An Ye, Li Jiangna, Li Yan      

  272. The multi-attribute decision-making portfolio weighting method based Chinese commercial bank credit risk assessment

  273. Lv Pin, Yuan Yijun, Sun Jia       

  274. The Problems, Reasons and Countermeasures of Internal Performance Appraisal in China’s CCBs

  275. Wang Enshan

  276. The research on development of the Growth Enterprise Market

  277. Zhou Shaoni, Liu Menlan

  278. The Short-term Performance of Acquiring Firms around M&A Announcements Day in China

  279. Ling Chunhua, Yu Ping    

  280. The study of credit investigation butt joint platform of Taiwan and mainland

  281. Ruan Dexin

  282. The Study of Idiosyncratic Volatility Anomalies and Reasons in China—To Explain the Puzzle of Idiosyncratic Volatility Based on Econometric Methods

  283. Li Zhuwei, Yang Ruibo, Yin Xiaoting, Li Ming

  284. The study of reform strategy in Chinese credit card overdraft interest rate marketization

  285. Wang Xing, Jin Chun

  286. The Study on the Delisting Companies’ Profit Manipulation and the Impact of the Stock Price

  287. Liu Bo, Wu Xianbin, Shu Mingfei

  288. The Study on the Impact of Negative Internet Word-of-mouth on Consumers’ Willingness to Use Online Banking

  289. Dai Zhuo

  290. Tourism Economic Value Assessment Method of Coastal Environmental Resources and Empirical research

  291. Wang Xigang, Wang Erda

  292. Underwriters’ Reputation and IPO Underpricing under the Background of Chinese Market

  293. Shi Jinyan, Wei Dianfeng, Song Zhe

  294. Why should firms hedge —Review on Corporate Risk Management



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