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教授個人資料

教授個人資料
羅懷均
職稱
教授兼管理碩士在職專班主任
專長/研究領域
  • 公司財務決策
  • 公司治理
  • 金融投資
  • 市場效率
  • 家庭財務規劃
學歷
  • 台灣大學國際企業學系國際財務金融組博士
經歷
  • 元智大學管理學院財務暨會計碩士班主任
  • 元智大學管理學院財金學群召集人
  • 元智大學EMBA副主任
  • 元智大學管理學院投資與風險管理學程召集人
  • 元智大學管理學院產業與公司理財學程召集人
  • 元智大學管理學院金融服務業產業學程召集人
  • 元智大學退撫儲金管委會委員
  • 元智大學管理學院財金學群副教授
  • 元智大學管理學院財金學群助理教授
  • 臺灣大學博士後研究員
  • 逢甲大學財金系兼任講師
  • 期刊論文
  • 會議論文
  • 研究計畫
  • 專書/個案/其他出版品
  • 產學計劃
  • 教授課程
  • 論文指導
  • 獲獎與專業證照
  • 學會會員
  • 其他校外服務
  • Lo, H.C. & Chan*, C.Y. (2023). Mean Reverting Phenomenon of Stock Ratings Distribution. Review of Quantitative Finance and Accounting, 60(3), 1065-1097. (NSC Rank: A tier2, Scopus, Econlit)
  • Lo, H.C., Chien, C.Y., Kweh, Q.L., &Chen, Y.J. (2023). Executive’s gender role on the effects of bad news on stock returns and analysts’ recommendations. Asian Academy of Management Journal of Accounting and Finance, 19(2), 1-39. (ESCI, Scopus)
  • Chen, I.J., Lin, W.C., Lo, H.C., Chen, S.S. (2023). Board Diversity and Corporate Innovation. Review of Quantitative Finance and Accounting, 61(1), 63-123. (NSC Rank: A tier2)
  • Wu, R.S., &Lo*, H.C. (2022). A Rose Has Its Thorn: The Role of Institutional Investors in SEO Firms’ Reporting Behavior. International Review Economics & Finance, 82, 530-554. (NSC Rank: A-, SSCI 2021 IF=3.399).
  • Kweh, Q. L., Tebourbi, I., Lo*, H. C., & Huang, C. T. (2022). CEO Compensation and Firm Performance: Evidence from Financially Constrained Firms. Research in International Business and Finance, 61, 101671. (SSCI 2021 IF=6.143)
  • Wu, R.S., Cheng, J.C., Chen, Y.C., &Lo*, H.C. (2022). Anchoring Bias in Analysts’ EPS Forecasts: Evidence from the Mergers and Acquisitions. Journal of Management and Business Research, 39(4), 547-572. (管理學報, TSSCI, Scopus).
  • Lo, H. C., & Shiah-Hou*, S. R. (2022). The Effect of CEO Power on Overinvestment. Review of Quantitative Finance and Accounting, 59(1), 23-63. (NSC Rank: A tier2)
  • Lo, H.C., Yang, M.J., Huang, C.T., & Chien*, C.Y. (2022). Does Income Influence Rational Decisions?. Economic Horizons, 24(2),195-209. (Scopus, Econlit).
  • Lo, H.C., Koedijk, K.G., Gao, X., & Hsu*, Y.T. (2020). How do Job Vacancy Rates Predict Firm Performance? A Web Crawling Massive Data Perspective. Pacific-Basin Finance Journal. 62, 101371. (NSC Rank: A tier2, SSCI 2019 IF=2.382).
  • Ting, I.W.K., Lo*, H.C., & Kweh, Q.L. (2020). How Do Ownership Concentration and Family Control Affect R&D Investments? New Evidence from Taiwan. International Review of Finance,20(1),275-291. (NSC Rank: B+, SSCI 2019 IF=1.177).
  • Wang, M.C., Liu, Y.J., Chan*, C.Y., Bui, P.C., &Lo, H.C. (2019). Investor Type, Options, and Mental Accounting: Evidence From The Taiwan Index Options Trading. Journal of Futures and Options(期貨與選擇權學刊), 12(1),81-139. (TSSCI).
  • Lin, H.W., Wu, R.S., & Lo*, H.C. (2019). Does Inter-Industry and Intra-Industry Information Help Predict Financial Distress?. International Review of Finance,19(3), 665-679. (NSC Rank: B+, SSCI 2018 IF=0.807).
  • Lo*, H.C., & Lin, H.W. (2018). Will The Analysts Report More Positively for the Less-Covered Stocks When They Are First Included on the Analysts List? Journal of Accounting Review, 66, 83-120. (會計評論,TSSCI)
  • Lo, H.C., Kweh, Q.L., & Wu*, R.S. (2017). Do Institutional Investors Reinforce or Reduce Agency Problems? Earnings Management and The Post-IPO Performance. International Review of Financial Analysis, 52, 62-76. (NSC Rank: A-, SSCI 2016 IF=1.457).
  • Chan, C.Y., Chou*, D.W., & Lo, H.C. (2017). Do Financial Constraints Matter When Firms Engage in CSR?. North American Journal of Economics and Finance, 39, 241-259. (SSCI 2016 IF=0.876).
  • Lin, H.W., Lo, H.C., & Wu*, R.S. (2016). Modeling Default Prediction with Earnings Management. Pacific-Basin Finance Journal, 40, 306-322. (NSC Rank: A tier2, SSCI 2016 IF=1.754).
  • Lo, H.C., Ting, I.W.K., Kweh*, Q.L., & Yang, M.J. (2016). Nonlinear Association between Ownership Concentration and Leverage: The Role of Family Control. International Review of Financial Analysis, 46, 113-123. (NSC Rank:A-, SSCI 2016 IF=1.457)
  • Chan, C.Y., Lo*, H.C., & Yang, M.J. (2016). The Revision Frequency of Earnings Forecasts and Firm Characteristics. North American Journal of Economics and Finance, 35, 116-132. (SSCI 2015 IF=1.36)
  • Chan, C.Y., Lo*, H.C., & Su, Y.R. (2014). Distribution of Stock Ratings and Analyst Recommendation Revision. North American Journal of Economics and Finance, 28, 273-286. (SSCI 2013 IF=1.5)
  • Tien*, C., Lo, H.C., & Lin, H.W. (2011). The Economic Benefits of Mega Events: A Myth or a Reality? A Longitudinal Study on the Olympic Games. Journal of Sport Management, 25(1), 11-23. (SSCI 2010 IF=0.797)
  • Chen, C.W., Yang*, M.J., Gerlach, R., & Lo, H.J. (2006). The Asymmetric Reactions of Mean and Volatility of Stock Returns to Domestic and International Information Based on A Four-Regime Double-Threshold GARCH Model. Physica A: Statistical Mechanics and its Applications, 366, 401-418. (SCI)
  • 1. Lo, H.C. & Chan, C.Y. (2022). Mean Reverting in Stock Ratings Distribution. 2022 International Conference on Business Administration, Taiwan, 2022/05
  • 2. Wu, R.S., Lin, H.W.W., & Lo, H.C. (2022). The Effects of Current and Cumulative Real Earnings Management on Default Prediction. International Conference of the Taiwan Finance Association, Taiwan, 2022/06.
  • 3. Wu, R.S., &Lo, H.C. (2020). A Rose Has Its Thorn: The Role of Institutional Investors in SEO Firms’ Reporting Behavior. 2020 Korean Accounting Association Annual Global Meeting. (Online)
  • 4. Wu, R.S., Lin, H.W.W., & Lo, H.C. (2020). The Effect of Cumulative Earnings Management on Default Prediction. The 13th NCTU International Finance Conference, Taiwan, 2020/01.
  • 5. Lin, H.W.W., Wu, R.S., & Lo, H.C. (2019 August). Financial Distress Prediction: From the View of Real Earnings Management. 2019 American Accounting Association Annual Meeting (AAA), U.S..
  • 6. Lin, H.W.W., Wu, R.S., & Lo, H.C. (2018, October). Does Real Earnings Management Matter in Default Prediction?. 2018 Financial Management Annual Meeting (FMA), U.S..
  • 7. Kweh, Q.L., Lo, H.C., & Ting, I.W.K. (2018, March). How Do Ownership Concentration and Family Control Influence Over-Investment and Financial Risk?. 2018 85th International Atlantic Economic Conference, Germany.
  • 8. Huai-Chun Lo (2018, August). Over-Investment and Corporate Social Responsibility, 2018 Academicsera- International Conference on Economics Finance and Accounting (ICEFA), Singapore.
  • 9. Huai-Chun Lo (2018, July). Spillover Effect of Over-Investment along the Supply Chain, 15th International Conference on Arts, Humanities, Social Sciences and Corporate Social Responsibilities, Indonesia.
  • 10. Lo, H.C., & Chuang, H.C. (2017, Oct). Does Supply Chain Information Help Predict Firm Risk?. Universal Academic Cluster International Autumn Conference, Japan, Tokyo.
  • 11. Kweh, Q.L., Lo, H.C., & Ting, I.W.K. (2017, Jun). Ownership Structure and Financial Risk. International Journal of Arts & Sciences’ (IJAS) International Conference for Business and Economics, Italy.
  • 12. Ting, I.W.K., Kweh, Q.L., & Lo, H.C. (2017, Apr). Ownership Concentration And R&D Investments? Variations Brought by Family Control in Taiwan. FGIC 1st Conference on Governance & Integrity 2017, Malaysia.
  • 13. Chan, C.Y., Lo, H.C., & Wang, Y.Z. (2016, Jun). The Role of CEO Perquisites in Firm Cash Holding: A US Case. Young Finance Scholars' Conference, Brighton, UK.
  • 14. Lo, H.C., & Chuang, H.C. (2016, May). Information Value of Supply Chain to Analysts' Recommendation Quality: Evidences from Corporate Distress. 2016 Finance, and Accounting Conference (IEFA), Taipei.
  • 15. Chan, C.Y., & Lo, H.C. (2015, Jun). Mean Reverting Phenomenon of Stock Ratings Distribution. 2015 Asian Finance Association Annual Meeting, Changsha, China.
  • 16. Lin, H.W.W., Lo, H.C., & Wu, R.S. (2015, Apr). Modeling Default Prediction with Earnings Management. 6th Financial markets and corporate governance conference, Australia. 研討會財務會計領域最佳論文獎.
  • 112科技部專題研究計畫:職缺資訊是否影響分析師決策
  • 111科技部專題研究計畫:前期與當期財務報告與預測內容的資訊意涵--競爭或合作?財務分析師之間的網絡關係 (2/2)
  • 110科技部專題研究計畫:前期與當期財務報告與預測內容的資訊意涵--競爭或合作?財務分析師之間的網絡關係 (1/2)
  • 108科技部專題研究計畫:證券分析師所提供資訊與企業投資、籌資活動--企業不效率投資的頻率是否影響資金成本與資本結構
  • 107科技部專題研究計畫:不確定環境下之企業決策與風險管理(3/3)
  • 106科技部專題研究計畫:權益證券市場解決訊息不對稱機制/服務提供者之研究--投資決策、股東所有權與財務風險之關聯
  • 106科技部專題研究計畫:不確定環境下之企業決策與風險管理(2/3)
  • 105科技部專題研究計畫:不確定環境下之企業決策與風險管理(1/3)
  • 105科技部專題研究計畫:股權結構與投資風險
  • 104科技部專題研究計畫:資本市場財務訊號的衡量與檢測--券商股票投資評等分配的均數迴歸與調整機制
  • 103科技部專題研究計畫:盈餘品質,市場資訊與公司監理--財務分析師是否有效率地反應企業社會責任資訊?
  • 101國科會專題研究計畫:財務分析師的推薦組合變動對財務危機預測的資訊價值?
  • 100國科會專題研究計畫:跨界分析師之策略性行為與資訊不確定
  • 公司財務
  • 投資學
  • 個人理財/高效投資與理財規劃
  • 財經數據分析方法/統計學/企業研究方法
  • 元智大學青年學者研究獎
  • 元智大學服務與輔導 傑出獎
  • 2023期貨學術與實務交流研討會論文金質獎
  • Financial Risk Manager (FRM)
  • Passed Chartered Financial Analyst (CFA) Level I Exam
  • 高級證券業務員
  • 期貨業務員
  • 投信投顧業務員
  • 信託業業務人員
  • 理財規劃人員
  • 財富管理規劃師
  • 財富管理顧問師
  • 指導學生參加理財規劃案例競賽:
  • 2011全國大專財富管理競賽(第二名x1, 特優x1,優等x2, 佳作);
  • 2011第一屆全國財富管理競賽(特優x1);
  • 2012第一屆全國大專校院-北、中、南分區理財規劃案例競賽 (第一名x1,優等x2,佳作);
  • 2012第二屆全國財富管理競賽 (優等x1, 佳作);
  • 2013第二屆全國大專校院-北、中、南分區理財規劃案例競賽 (第一名x1,優等x2,佳作);
  • 2013第三屆全國大專財富管理競賽 (優等x1);
  • 2014第四屆全國大專財富管理競賽 (優等x1);
  • 2014第二屆全國大專校院-北、中、南分區理財規劃案例競賽 (第二名x1,特優x2,優等x2,佳作);
  • 2015第五屆全國大專財富管理競賽 (佳作);
  • 2015第三屆全國大專校院-北、中、南分區理財規劃案例競賽 (特優x2,優等x2);
  • 台灣金融教育協會理事
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