김화성
경희대학교 경영학과
fstar@khu.ac.kr
김화성
경희대학교 경영학과
fstar@khu.ac.kr
강의 과목
학부: 재무관리, 투자론, 금융파생상품론
대학원: 재무관리, 기업재무론, 투자론, 금융파생상품론
연구 분야 및 주제
기업재무
기업의 투자와 자금조달 결정 및 상호 연관성
경영자 보상/경영자의 과신 및 낙관이 재무의사 결정에 미치는 영향
실물옵션, 신용위험 및 파생상품가격 결정
게재 예정/최근 게재 논문
"옵션 가격의 민감도 추이에 관한 연구," (공저자: 배광일), 재무관리연구, 2025.
"Effects of incomplete information on risk management," Finance Research Letters, 2024.
"Is the zero-leverage policy value-enhancing?" (with Wenwen Jiang and Jangkoo Kang), Quarterly Review of Economics and Finance, 2024.
"Forced conversion to Chapter 7 bankruptcy and optimal financial decisions," Finance Research Letters, 2023.
"Effects of Ambiguity on Innovation Strategies," Financial Innovation, 2023.
"Economic policy uncertainty and overinvestment: evidence from Korea," (공저자: Wenwen Jiang), 선물연구, 2021.
"Risk management and optimal capital structure under ambiguity," Finance Research Letters, 2021.
"Effects of Knightian Uncertainty on Interactions between Investment and Financing Decisions," 재무연구, 2020.
"Investment decisions, debt renegotiation friction, and agency conflicts," International Review of Finance, 2020.
"Investment decisions and debt financing under information uncertainty," North American Journal of Economics and Finance, 2020.
"Effects of CEO miscalibration on compensation and hedging," Finance Research Letters, 2019.
"Call options with concave payoffs: An application to executive stock options," (with Kwangil Bae and Jangkoo Kang), Journal of Futures Markets, 2018.
진행 중인 논문
Debt structure and corporate financial decisions.