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Chang, Chun-Hao
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Professor
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Finance
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College of Business
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Scholarly & Creative Works
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Scholarly & Creative Works
selected scholarly works & creative activities
Article
2021
Why do Subchapter S Banks Convert to C Banks?
Full Text via DOI:
10.1007/s10693-021-00369-6
Web of Science:
000718732900001
2019
The determinants of firms' global diversification decisions
.
APPLIED ECONOMICS
. 51:3274-3292.
Full Text via DOI:
10.1080/00036846.2019.1566690
Web of Science:
000463615500004
2016
The Tax Exemption to Subchapter S Banks: Who Gets the Benefit?
.
FINANCIAL REVIEW
. 51:329-362.
Full Text via DOI:
10.1111/fire.12107
Web of Science:
000388372700002
2010
Flood Zone Uncertainty and the Likelihood of Marketing Success
Full Text via DOI:
10.1080/10835547.2010.12092025
2008
Effect of intervalling and skewness on portfolio selection in developed and developing markets
Full Text via DOI:
10.1080/09603100701720419
2008
Optimum allocation of weights to assets in a portfolio: The case of nominal annualization versus effective annualization of returns
Full Text via DOI:
10.1080/09603100701720427
2007
Global Stocks and Contemporaneous Market Risk
Web of Science:
000213794800007
2004
Sale of monopoly information and behavior of rivaling clients: A theoretical perspective
.
REVIEW OF FINANCIAL ECONOMICS
. 13:283-304.
Full Text via DOI:
10.1016/j.rfe.2003.11.001
2003
Selecting a portfolio with skewness: Recent evidence from US, European, and Latin American equity markets
.
JOURNAL OF BANKING & FINANCE
. 27:1375-1390.
Full Text via DOI:
10.1016/S0378-4266(02)00261-3
1998
Will a risk-averse decision maker ever really prefer an unfair gamble? Sometimes, he will
.
DECISION SCIENCES
. 29:521-524.
Full Text via DOI:
10.1111/j.1540-5915.1998.tb01588.x
Web of Science:
000076188700011
1996
Bank failure, risk, and capital regulation
Full Text via DOI:
10.1007/BF02920602
1995
The 100-year Japanese residential mortgage: An examination
Full Text via DOI:
10.1016/1061-9518(95)90004-7
1994
OPTIMAL PRICING STRATEGY IN MARKETING-RESEARCH CONSULTING
.
INTERNATIONAL ECONOMIC REVIEW
. 35:463-478.
Full Text via DOI:
10.2307/2527064
Web of Science:
A1994NK31000012
1993
PREPAYMENT RISK AND THE DURATION OF DEFAULT-FREE MORTGAGE-BACKED SECURITIES
.
JOURNAL OF FINANCIAL RESEARCH
. 16:1-9.
Web of Science:
A1993KY36500001
1993
Profit, productivity, and profit-sharing
Full Text via DOI:
10.1007/BF02920086
1992
INFORMATION ACQUISITION AS BUSINESS STRATEGY
.
SOUTHERN ECONOMIC JOURNAL
. 58:750-761.
Full Text via DOI:
10.2307/1059841
Web of Science:
A1992GY69200015
Voluntary disclosure and its impact on share prices: Evidence from the UK biotechnology sector
.
JOURNAL OF ACCOUNTING AND PUBLIC POLICY
. 27:195-216.
Full Text via DOI:
10.1016/j.jaccpubpol.2008.02.001
Web of Science:
000261771500001
Why a decision maker may prefer a seemingly unfair gamble
.
DECISION SCIENCES
. 27:239-253.
Full Text via DOI:
10.1111/j.1540-5915.1996.tb01717.x
Web of Science:
A1996VE06100004
Book Chapter
1995
Current Assets Policies of European Corporations: A Critical Examination
. 105-117.
Full Text via DOI:
10.1007/978-3-322-90985-5_8
Preprint
2012
Working Capital Policy and Stock Return Volatility
Full Text via DOI:
10.2139/ssrn.2154592
2008
Effect of Intervalling and Skewness on Portfolio Selection in Developed and Developing Markets
Full Text via DOI:
10.2139/ssrn.3362620
2007
Optimum Allocation of Weights to Assets in a Portfolio: The Case of Nominal Annualisation Versus Effective Annualisation of Returns
Full Text via DOI:
10.2139/ssrn.3362624
2003
Selecting a Portfolio with Skewness: Recent Evidence from US, European, and Latin American Equity Markets
Full Text via DOI:
10.2139/ssrn.2663177
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Chun-Hao
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