王若愚/助理教授
| 最高學歷: | 英國南安普敦大學財務博士 |
| 學術專長: | 財務管理、財務報表分析、金融大數據分析、金融風險管理、金融機構公司治理 |
| 研究室分機: | 05-6313182 |
| 電子郵件: | jywang@nfu.edu.tw |
研發成果
A1.期刊論文
1. 王若愚(2019).Does Corporate Governance Enhance Firm Performance and Reduce Firm Risk? Evidence from Taiwanese Listed Companies.Journal of Economics and Management (Econlit),Vol. 15, No.1
2. 王若愚(2019).Role of Board Structure in Financial Institutions: Evidence from Western Europe.Journal of Accounting, Finance & Management Strategy (Econlit),Vol. 14, No. 2,
3. 王若愚(2020).Value at Risk based on Skewed distributions: Evidence from Asian Equity Markets.International Review of Accounting, Banking and Finance (Econlit),
A2.研討會
1. 王若愚(2018.6).Value at Risk Based on Skewed Distributions: Evidence from Asian Equity Market.25th Annual Conference of the Multinational Finance Society ,Budapest
2. 王若愚(2019.7).Value-at-Risk of Equity Index and Index Futures Returns based on Empirical Tail Distribution.The 15th Conference of Asia-Pacific Association of Derivatives,Busan
3. 王若愚(2020.6).探討資本結構和營運資金影響台灣中小企業個財務管理績效.第二十三屆財金理論與實務研討會,台中