2025
C.-W. Wang* (with W. Lin, Y.-J. Li, and J.-Y. Chen) (2025) “From Green to Digital: Exploring the Role of Ecological Footprints on Cybersecurity Risk” Energy Economics Vol. 146, pp. 108546. (SSCI, Economics: B+)
C.-W. Wang* (with C.-C. Lee, W. Lin, and E.-J. Chen) (2025) “Cyber Risk and Corporate Share Repurchases” International Review of Financial Analysis Vol. 103, pp. 104232. (SSCI, NSTC: A-)
C.-W. Wang* (with C.-C. Lee, C.-W. Huang, and S. S. Sharma) (2025) “Corporate Dividend Behavior under Uncertainty: A Study of Chinese Firms” Pacific-Basin Finance Journal Vol. 91, pp. 102747. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, W. Lin, and Y.-H. Chiu) (2025) “The Role of Happiness in Bank Risk: An international cross-country analysis” Pacific-Basin Finance Journal Vol. 90, pp. 102663. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, W. Lin, and F.-Y. Lee) (2025) “Environmental Tightening, Labor Slackening: Unveiling the Inefficiencies in Labor Investment” International Review of Financial Analysis Vol. 99, pp. 103982. (SSCI, NSTC: A-)
2024
C.-W. Wang* (with C.-C. Lee and H. Hsu) (2024) “Innovative Routes: The Impact of Strategic Deviance on Corporate Success” International Review of Financial Analysis Vol. 96, pp. 103660. (SSCI, NSTC: A-)
C.-W. Wang* (with C.-C. Lee, M. Y. Indra, and S. S. Sharma) (2024) “Digitalization and Firms’ Debt Maturity: Do Financial Constraints and Uncertainty Matter?” Pacific-Basin Finance Journal Vol. 85, pp. 102399. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, B. T. Thinh, M. Y. Indra, and S. S. Sharma) (2024) “Corporate Leverage and Leverage Speed of Adjustment: Does Environmental Policy Stringency Matter?” Pacific-Basin Finance Journal Vol. 85, pp. 102344. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, Meiting Lu, and C.-Y. Cheng) (2024) “ESG engagement, Country-level Political Risk and Bank Liquidity Creation” Pacific-Basin Finance Journal Vol. 83, pp. 102260. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, P.-H Hong, and W. Lin) (2024) “Environmental Policy Stringency and Bank Risks: Does Green Economy Matter?” International Review of Financial Analysis Vol. 91, pp. 103040. (SSCI, NSTC: A-)
2022-2023
C.-W. Wang* (with C.-C. Lee and Y.-C. Wu) (2023) “CEO Inside Debt and Downside Risk: Evidence from Internal and External Environments” Pacific-Basin Finance Journal Vol. 80, pp. 102073. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee and B. Park) (2023) “The Effect of Asymmetric Information Disappears: Evidence in Share Repurchases and Market Efficiency” Finance Research Letters Vol. 56, pp. 104091. (SSCI, NSTC: A-)
C.-W. Wang* (with C.-C. Lee and B. T. Thinh) (2023) “Green Development, Climate Risks, and Cash Flow: International Evidence” Pacific-Basin Finance Journal Vol. 79, pp. 101021. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee and L.-T. Wu) (2023) “The Relationship between Cash Flow Uncertainty and Extreme Risk: International Evidence” Pacific-Basin Finance Journal Vol. 77, pp. 101927. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee and Z.-T Xu) (2023) “The Signaling Effect of Cash Holdings Adjustment before Bond Issuance” International Review of Financial Analysis Vol. 85, pp. 102470. (SSCI, NSTC: A-)
C.-W. Wang* (with C.-C. Lee) (2022) “Liquidation Threat: Behavior of CEO Entrenchment” Finance Research Letters Vol. 47, pp. 102949. (SSCI, NSTC: A-)
C.-W. Wang* (with C.-C. Lee, B. T. Thinh, and Z.-T Xu) (2022) “Climate Risk and Bank Liquidity Creation: International Evidence” International Review of Financial Analysis Vol. 82, pp. 102198. (SSCI, NSTC: A-)
C.-W. Wang* (with Y.-C. Wu, H.-Y. Hsieh, P.-H. Huang, and M.-C. Lin) (2022) “Does Green Bond Issuance Have an Impact on Climate Risk Concerns?” Energy Economics Vol. 111, pp. 106066. (SSCI, Economics: B+)
C.-W. Wang* (with C.-C. Lee and M.-C. Chen) (2022) “The Effects of Economic Policy Uncertainty and Country Governance on Banks’ Liquidity Creation: International Evidence” Pacific-Basin Finance Journal Vol. 71, pp. 101708. (SSCI, NSTC: A Tier 2).
C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2022) “Financial Aid and Financial Inclusion: Does Risk Uncertainty Matter?” Pacific-Basin Finance Journal Vol. 71, pp. 101700. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (2022) “Debt Maturity Choice in CEOs’ Incentive to Signal Abilities” Asia-Pacific Journal of Accounting & Economics Vol. 29(3), pp. 632–648. (SSCI, Accounting: A-)
2020-2021
C.-W. Wang* (with W.-C. Chiu and Tao-Hsien Dolly King) (2021) “Debt Maturity Dispersion and the Cost of Bank Loans” Journal of Corporate Finance Vol. 70, pp. 102049. (SSCI, NSTC: A Tier 1)
C.-W. Wang* (with C.-C. Lee) (2021) “Firms’ Cash Reserve, Financial Constraint, and Geopolitical Risk” Pacific-Basin Finance Journal Vol. 65, pp. 101480. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with J.-Y. Peng) (2021) “The Impact of Internal and External Factors on the Relationship between Information Opacity and Open-Market Repurchases” Accounting and Finance Vol. 61(3), pp. 4085-4118. (SSCI, Accounting: A-).
C.-W. Wang (with C.-C. Lee, S.-J. Ho, and T.-P. Wu) (2021) “The Impact of Natural Disaster on Energy Consumption: International Evidence” Energy Economics Vol. 97, pp. 105021. (SSCI, Economics: B+)
C.-W. Wang* (with W.-C. Chiu and Tao-Hsien Dolly King) (2020) “Debt Maturity and the Cost of Bank Loans” Journal of Banking & Finance Vol. 112, pp. 105235. (SSCI, NSTC: A Tier 1)
C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020) “Financial Innovation and Bank Growth: The Role of Institutional Environments” North American Journal of Economics and Finance Vol. 53, pp. 101195. (SSCI)
C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020) “Country Governance, Corruption, and the Likelihood of Firms’ Innovation” Economic Modelling Vol. 92, pp. 326–338. (SSCI, Economics: B+)
C.-W. Wang* (with C.-C. Lee and S.-J. Ho) (2020), “Financial Inclusion, Financial Innovation, and Firms’ Sales Growth” International Review of Economic and Finance Vol. 66, pp. 189–205. (SSCI, NSTC: A-)
2018-2019
C.-W. Wang* (with W.-C. Chiu) (2019) “Rollover risk and cost of bank debt: The role of family- control ownership” Pacific-Basin Finance Journal Vol. 53, pp. 362–378. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with W.-C. Chiu) (2019) “Effect of short-term debt on default risk: Evidence from Pacific Basin countries” Pacific-Basin Finance Journal Vol. 57, pp. 101026. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with C.-C. Lee, W.-C. Chiu and T.-S. Tien) (2018) “Managerial ability and Corporate Investment Opportunity.” International Review of Financial Analysis Vol. 57, pp. 65–76. (SSCI, NSTC: A-)
C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2018), “Does the Source of Debt Financing Affect Default Risk?” Review of Financial Economics Vol. 36, pp. 232–251. (NSTC: A-)
2016-2017
C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2017), “Effect of Rollover Risk on Default Risk: Evidence from Bank Financing.” International Review of Financial Analysis Vol. 54, pp. 130–143. (SSCI, NSTC: A-)
C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2016) “Tail Risk Spillovers and Corporate Cash Holdings.” Journal of Multinational Financial Management Vol. 36, pp. 30–48. (SSCI, NSTC: B+)
2013-2015
C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2015) “Industry Characteristics and Financial Risk Contagion.” Journal of Banking & Finance Vol. 50, pp. 411–427. (SSCI, NSTC: A Tier 1)
C.-W. Wang (with J. I. Peña and W.-C. Chiu) (2015) “Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects.” European Financial Management Vol. 21, pp. 833–866. (SSCI, NSTC: A Tier 2)
C.-W. Wang (with H.-H. Lee and W.-C. Chiu) (2014) “Have Domestic Institutional Investors Become as Market Savvy as Foreign Investors? Evidence from Taiwan Options Market.” Journal of Derivatives Vol. 21, No. 4: pp. 63–81. (SSCI, NSTC: A Tier 2)
C.-W. Wang* (with J. I. Peña and W.-C. Chiu) (2013) “Do Structural Constraints of the Industry Matter for Corporate Failure Prediction?” Investment Analysts Journal Vol. 78, pp. 65–81. (SSCI)
C.-W. Wang (with Y.-J. Jou and W.-C. Chiu) (2013) “Is the Realized Volatility Good for Option Pricing during the Recent Financial Crisis?” Review of Quantitative Finance and Accounting Vol. 40, pp. 171–188. (NSTC: A Tier 2)
BOOK (CHAPTERS)
Ramos, Sofia B., Helena Veiga and Chih-Wei Wang, 2014, “Risk Factors in the oil industry: an upstream and downstream analysis” in The Interrelationship Between Financial and Energy Markets (Springer), Edited by Sofia B. Ramos and Helena Veiga.
WORKING PAPERS
“The Value of Brand Names in Bank Financing: Evidence from the 1996 Federal Trademark Dilution Act” (with Wan-Chien Chiu and Po-Hsuan Hsu)