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期刊論文
  1. Chia-Ju Lee,Tuan-Nam Lai, C.C. Chiang, Hai-Chin Yu , “Dynamic Conditional Correlation and Volatility Distributions in Tokyo, London, and New York Gold Markets” , 2019 , Investment Management and Financial Innovations , p.146-155. (Scopus期刊)(EconLit期刊)(ABI期刊)(EBSCO期刊)
  2. Hai-Chin Yu; Chia-Ju Lee; Der-Tzon Hsieh , “Does Quantile Co-Integration Exist Between Spot And Future Gold Prices?” , 2019 , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 92, ed. by Cheng-Few Lee, World Scientific Publishing Co. Ltd. ISBN: 978-981-12-0238-4 , vol.3 , p.3219-3239. (Econlit期刊)
  3. Chia-Hui Chao; Hai-Chin Yu , “Social Media, Bank Relationships and Firm Value” , 2019 , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 66, ed. by Cheng-Few Lee, World Scientific Publishing Co. Ltd. ISBN: 978-981-12-0238-4 , vol.2 , p.2337-2371. (Econlit期刊)
  4. Cheng-Few Lee; Hai-Chin Yu , “Application Of Discriminant Analysis, Factor Analysis, Logistic Regression, And KMV-Merton Model In Credit Risk Analysis” , 2019 , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 126, ed. by Cheng-Few Lee, World Scientific Publishing Co. Ltd. ISBN: 978-981-12-0238-4 , vol.4 , p.4313-4348. (Econlit期刊)
  5. Hai-Chin Yu; Cheng-Few Lee; Ben J. Sopranzetti , “Financial Reforms and The Differential Impact of Foreign versus Domestic Banking Relationships on Firm Value” , 2019 , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 25, ed. by Cheng-Few Lee, World Scientific Publishing Co. Ltd. ISBN: 978-981-12-0238-4 , vol.1 , p.947-978. (Econlit期刊)
  6. Hai-Chin Yu; Thi-Thanh Phan , “Debt maturity and corporate R&D investment – the empirical study of US-listed firms ” , 2018 , Banks and Bank Systems , vol.13 , p.1-16. (Scopus期刊)(EconLit期刊)(ABI期刊)(EBSCO期刊)
  7. Hai-Chin Yu, Chia-Ju Lee, Tung-Li Shih , “Weekday effects on gold: Tokyo, London, and New York markets” , 2016 , Banks and Bank Systems , vol.11 , p.33-44. (Scopus期刊)(EconLit期刊)(ABI期刊)(EBSCO期刊)
  8. Hai-Chin Yu; Dung Phuong Tong , “ Banking Relationships, R&D Investment, and Growth Opportunities in China” , 2015 , Banks and Bank Systems , vol.10 , p.59-71. (EconLit期刊)(ABI期刊)(EBSCO期刊)
  9. Tung-Li Shih, Hai-Chin Yu, Der-Tzon Hsieh, and Chia-Ju Lee , “Realized Distributions of Dynamic Conditional Correlation and Volatility Thresholds in the Crude Oil, Gold and Dollar/Pound Currency Markets” , 2015 , Chap 58, Handbook of Financial Econometric and Statistics, Volumes I, II& III, Chapter 58, ed. by Cheng-Few Lee, Springer. , vol.3 , p.1619-1645. (SCI期刊)
  10. Hai-Chin Yu, Ben J. Sopranzetti, Cheng-Few Lee , “Banking Relationships, Managerial Incentives, Board Monitoring and Corporate Cash Holdings: An Emerging Market Perspective” , 2015 , Review of Quantitative Finance and Accounting , vol.44 , p.353-378. (國科會A-級期刊)
  11. 2. Hai-Chin Yu; Luu Tien Thuan , “CEO Compensation, CEO Attributes and Corporate Risk Taking-Evidence from US Listed Corporations” , 2014 , Banks and Bank Systems , vol.9 , p.28-52. (EconLit期刊)(EBSCO期刊)
  12. Hai-Chin Yu, Nguyen Van Hoa, , “Do state-owned enterprises add more value from banking relationships than private-owned enterprises? The case of China” , 2013 , Banks and Bank Systems , vol.8 , p.164-188. (EconLit期刊)(ABI期刊)
  13. Hai-Chin Yu*,Ingyu Chiou,James Jordan-Wagner,Der-Tzon Hsieh,Liang-Pei Chu , “Dynamic Conditional Correlation and Probability Distribution among Tokyo, London and New York Yen/Dollar FX Markets” , 2012 , Banks and Bank Systems , vol.7 , p.112-124. (EconLit期刊)(EBSCO期刊)
  14. Hai-Chin Yu, Cheng-Few Lee, Ben J. Sopranzetti , “Multiple Banking Relationships, Concentrated Managerial Ownerships and Firm Performance: A Simultaneous Equations Approach” , 2012 , The Quarterly Review of Economics and Finance , vol.52 , p.286-297. (國科會A-級期刊)
  15. Hai-Chin Yu, Chia-Yi Wu, Der-Tzon Hsieh , “Intraday Patterns in the Cross-sectional of Stock Returns– DJIA and NASDAQ high frequency indexes” , 2011 , Afr. Journal of Business Management , vol.5 , p.11116-11130. (SSCI期刊)
  16. Hai-Chin Yu; Chia-Yi Wu; Der-Tzon Hsieh , “Re-Examine Weekend Effects and Intraday Returns: A Probability Distribution Approach for Dow and Nasdaq Ten-minute Indicestribution Approach for Dow and Nasdaq Ten-minute Indexes” , 2011 , Banks and Bank Systems , vol.6 , p.25-50. (EconLit期刊)(ABI期刊)(EBSCO期刊)
  17. Hai-Chin Yu and Tung-Li Shih , “Gold, Crude Oil and the Weekend Effect: A Probability Distribution Approach” , 2011 , Investment Management and Financial Innovation , vol.8 , p.39-51. (Scopus期刊)(EconLit期刊)
  18. Hai-Chin Yu, Chya-Yi Wu, Michael Pagano , “ Intraday Returns and Weekday Effects in the Dow Jones and Nasdaq Stock Indexes” , 2011 , International Research Journal of Finance and Economics (EconLit, EBSCO, Scopus) , vol.0 , p.14-34. (Scopus期刊)(EconLit期刊)(EBSCO期刊)
  19. Hai-Chin Yu, Sean-Chih Chen, and Der-Tzon Hsieh , “Keiretsu Style Main Bank Relationships, R&D Investment, Leverage, and Firm Value” , 2010 , Handbook of Quantitative Finance and Risk Management, Volumes I, II& III, ed. by Cheng-Few Lee, Springer Publisher. ISBN: 978-0-387-77116-8. , vol.3 (SCI期刊)
  20. Tung-Li Shih; Hai-Chin Yu , “Distribution of Return and Volatility in Crude” , 2009 , Journal of Global Business Management , vol.5 , p.174-183. (ULRICH'S期刊)(CABELL'S期刊)
  21. Chiang, Thomas C., Hai-Chin Yu and Ming-Chya Wu , “Statistical properties, dynamic conditional correlation and scaling analysis: Evidence from Dow Jones and Nasdaq high-frequency data” , 2009 , Physica A , vol.388 , p.1555-1570. (SSCI期刊)
  22. Hai-Chin Yu; Thi-Thanh Phan , “Debt maturity and corporate R&D investment – the empirical study of US-listed firms” , 2008 , Banks and Bank Systems , vol.13 , p.1-16. (Scopus期刊)(EconLit期刊)(ABI期刊)(EBSCO期刊)
  23. Hai-Chin YU; Ken H. Johnson; and Der-Tzon Hsieh , “Public Debt, Bank Debt, and Non-bank Private Debt in Emerging and Developed Financial Markets ” , 2008 , International Research Journal Banks and Banks Systems (EconLit, ABI) , vol.3 , p.4-11.
  24. Hai-Chin YU, Ingyu Choiu, James Jordan-Wagner , “Does the Weekday Effect of the Yen/Dollar Spot Rates Exist in Tokyo, London, and New York? An Analysis of Panel Probability Distributions” , 2008 , Applied Economics , vol.40 , p.2631-2643. (SSCI期刊)
  25. Hai-Chin Yu, Anita K. Pennathur, Der-Tzon Hsieh , “How Does Public Debt Compliment the Interrelationships Between Banking Relationships and Firm Profitability? ” , 2007 , International Research Journal of Finance and Economics (EconLit, EBSCO) , vol.2 , p.36-55. (EI期刊)
  26. Wu, Ming-Chya, Ming-Chang Huang, Hai-Chin Yu and Thomas C. Chiang , “Phase Distribution and Phase Correlation of Financial Time Series” , 2006 , Physical Review E , vol.73 , p.016118-016118. (SSCI期刊)
  27. Hai-Chin Yu and Der-Tzon Hsieh , “Multiple Versus Single Banking Relationships: Some Taiwanese Evidence” , 2006 , International Banking Issues, ed by , Lynde, V. R., Nova Publishers, USA. ISBN: 1-59454-339-9. , vol.1 , p.125-149.
  28. Chiou, Ingyu, James Jordan-Wagner and Hai-Chin YU , “The Pricing Transmission of the Yen-Dollar Exchange Rates in London, New York, and Tokyo” , 2005 , Journal of the Academy of Finance , vol.3 , p.173-187.
  29. Hai-chin YU , “Multiple Banks Monitoring, Managerial Ownership and Tobin’s Q- a Panel Data Analysis, ” , 2004 , Proceedings of 11th International Conference on Panel Data, June, 2004, Texas A&M University, USA. , vol.0 , p.138-150.
  30. Hai-Chin YU, Ming-Chang Huang , “Statistical Properties of Volatility in Fractal Dimension and Probability Distribution Among Six Stock Markets - USA, Japan, Taiwan, South Korea, Singapore, and Hong Kong,” , 2004 , Applied Financial Economics (Econlit, FLI, EBSCO) , vol.14 , p.1087-1095 .
  31. 謝德宗, 俞海琴 , “台灣資產證券化問題分析及相關配套制度之研究” , 2003 , 企銀季刊 , vol. 26 , p.127-147.
  32. 俞海琴, 蔡政哲 , “認購權證發行前後對標的股票貝他風險與交易量影響之研究” , 2003 , 企銀季刊 , vol. 26 , p.77-99.
  33. 俞海琴,唐心怡,李秀虹 , “台灣企業發行海外可轉換公司債(ECB)對股價波動、風險影響之實證研究” , 2002 , 貨幣市場 , vol.6 , p.1-21.
  34. 俞海琴,葉宜生 , “價值投資法於台灣股市適用性之研究-電子業與非電子業之比較” , 2001 , 風險管理學報 , vol.3 , p.99-121.
  35. Hai-Chin Yu , “Banks Capital Structure and The Liquid Assets--Policy Implications of Taiwan” , 2000 , Pacific Economic Review , vol.5 , p.109-114. (SSCI期刊)
  36. 俞海琴,陳慧娟 , “我國上市公司成長、槓桿與托濱Q關聯之研究” , 1999 , 風險管理學報 , vol.1
  37. Hai-ChinYu , “The Relationship Between Banking Capital Structure and the Demand for Liquid Assets--The Case of Taiwan” , 1998 , Research in International Business and Finance (FLI) , vol.13
  38. Hai-Chin Yu , “Asymmertric Information,Collateral and Interest Rate- The Case of Taiwan” , 1998 , Emerging Capital Markets Financial and Investment Issues, Greenwood Press (EconLit) , vol.0 , p.149-166.
  39. 俞海琴,林彥凌 , “台灣地區商業銀行市場結構、行為與生產力互動關係之實證研究” , 1998 , 基層金融 , vol.0
  40. 俞海琴, 林彥凌 , “台灣地區商業銀行市場結構、行為與生產力互動關係之實證研究” , 1998 , 基層金融 , vol.0
  41. 俞海琴,洪方筑 , “我國新上市公司會計師聲譽、承銷商聲譽與成交量關係之實證研究” , 1997 , 國科會人文及社會科學研究彙刊 , vol.7 (TSSCI期刊)
  42. 俞海琴,謝清潭 , “我國新上市公司股票價格低估與後續市場支持行為之研究” , 1997 , 國科會人文及社會科學研究彙刊 , vol.7 (TSSCI期刊)
  43. 俞海琴,張祥生 , “我國銀行獲利方式與獲利能力關係之實證研究” , 1997 , 基層金融 , vol.0
  44. 俞海琴,張宏德 , “資本管制與影響銀行資本投入因素之實證研究” , 1996 , 基層金融 , vol.0
  45. 俞海琴,施玲玲 , “資本管制宣告對我國銀行財富與風險效果影響之實證研究” , 1996 , 中原學報 , vol.24
  46. 俞海琴 ,李紹璧 , “資訊科技對我國銀行經營績效影響之實証研究” , 1996 , 國科會人文及社會科學研究彙刊 , vol.6 (TSSCI期刊)
  47. 俞海琴,游國成 , “我國商業銀行資本結構決定因素之實證研究” , 1995 , 企銀季刊 , vol.18
  48. 俞海琴,鄭明祺 , “我國上市公司股權結構與投資、融資、股利決策關係之實證研究” , 1995 , 國科會人文及社會科學研究彙刊 , vol.5 (TSSCI期刊)
  49. 俞海琴,劉維琪 , “我國商業銀行資本與放款品質、資產風險間之關係-理論與實證” , 1994 , 台大社會科學論叢 , vol.0 (TSSCI期刊)
  50. 俞海琴 , “信用合作社立法前後及未來因應策略” , 1994 , 基層金融 , vol.0
  51. 俞海琴 , “內部人士持股比率與融資策略關係之實證研究” , 1994 , 管理評論 , vol.13 (TSSCI期刊)
  52. 俞海琴 , “可貸資金與流動性偏好理論與實際之研究” , 1994 , 企銀季刊 , vol.18
  53. 俞海琴,謝德宗,林師模 , “以時間序列頻譜分析方法探討整合與分隔市場理論對台灣股市適用性之研究” , 1994 , 台大管理論叢 , vol.4 (TSSCI期刊)
  54. 俞海琴,周本鄂 , “台灣地區上市公司董監事、關係人持股比率和公司托賓Q關係之研究” , 1994 , 管理評論 , vol.0 (TSSCI期刊)
  55. 俞海琴,李紹璧 , “選擇權訂價模式在財務管理上之應用” , 1994 , 企銀季刊 , vol.17
  56. 俞海琴 , “資產選擇與資本市場理論之研究” , 1994 , 企銀季刊 , vol.17
  57. 俞海琴,張錫杰 , “臺灣地區股價與匯率、利率互動關係之研究─向量自我迴歸模式之應用” , 1993 , 中原學報 , vol.0
  58. 俞海琴 , “銀行信用分配與貨幣供給之研究” , 1993 , 企銀季刊 , vol.17
  59. 俞海琴 , “防止逆選擇發生的本國銀行放款契約模式─新銀行開放設立前之情況” , 1993 , 管理評論 , vol.0 (TSSCI期刊)
  60. 俞海琴,林炯垚 , “我國股市成熟度之研究” , 1993 , 企銀季刊 , vol.17 , p.27-35.
  61. 俞海琴 , “我國銀行與企業借貸資訊調查之實證分析” , 1993 , 企銀季刊 , vol.16 , p.35-58.
  62. 俞海琴 , “信用分配研究的回顧與評介” , 1993 , 企銀季刊 , vol.16 , p.1-11.
  63. 俞海琴,劉維琪,林炯垚,陳隆麒 , “銀行與借款者考慮誘因機制下的貸款契約設計原則─在借款者風險程度為連續情況下” , 1992 , 中原學報 , vol.21
  64. 俞海琴,劉維琪,林炯垚,陳隆麒 , “資訊不對稱下,借款者型態與放款契約中擔保品、利率間之關係-不連續情況” , 1992 , 管理評論 , vol.0 , p.59-80. (TSSCI期刊)
  65. 俞海琴 , “由擔保品及借款者風險看本國銀行放款市場資訊是否對稱” , 1992 , 企銀季刊 , vol.16 , p.1-9.
  66. 俞海琴 , “資訊不對稱下銀行放款契約訂定之研究” , 1992 , 台灣經濟金融月刊 , vol.28 , p.12-19.
  67. 俞海琴 , “利率決定理論之回顧及檢討” , 1992 , 台灣經濟金融月刊 , vol.28 , p.35-50.
  68. 俞海琴 , “貨幣數量學說的綜合探討” , 1990 , 台北市銀月刊 , vol.0 , p.25-40.
  69. 俞海琴 , “服務業的品質管理策略” , 1990 , 企銀季刊 , vol.0 , p.1-8.
  70. 俞海琴 , “利率理論的綜合探討” , 1989 , 台北市銀月刊 , vol.0 , p.33-48.
  71. 俞海琴 , “我國央行外匯干預行為之實證研究(下)” , 1987 , 企銀季刊 , vol.0 , p.84-98.
  72. 俞海琴 , “我國央行外匯干預行為之實證研究(上)” , 1986 , 企銀季刊 , vol.0 , p.109-121.
研討會論文
  1. Hai-Chin Yu , “Keiretsu–Main Bank Relationships, Dispersed Debt Maturity, and Syndicated Loan Contracts: Evidence from Japan” , 2019 , 2019 American Accounting Association Annual Meeting , 2019 /8 /9 ~ 2019 /8 /13 , United States .
  2. Pekka Hietala and Hai-Chin Yu , “The Dual Role of Keiretsu Main Bank Monitoring on the Cash Holdings of Japanese Firms” , 2019 , Western Economic Association International 94th Annual Conference , 2019 /6 /28 ~ 2019 /7 /3 , United States .
  3. Pekka Hietala, Hai-Chin Yu , “Main Bank Relationship, Asymmetric Information and Syndicated Loan Contract” , 2018 , The 26th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management , 2018 /9 /6 ~ 2018 /9 /7 , United States .
  4. Hai-Chin Yu , “Debt Specialization, Loan Contracting, and Corporate Innovation” , 2018 , 2018 American Accounting Association Annual Meeting , 2018 /8 /4 ~ 2018 /8 /8 , United States .
  5. Pekka Hietala, Hai-Chin Yu , “Main Bank Relationship,Asymmetric Information and Syndicated Loan Contract” , 2018 , International Conference of Taiwan Finance Association Annual Meeting , 2018 /5 /25 ~ 2018 /5 /26 , 中華民國 台灣 .
  6. Hai-Chin Yu; Thi-Thanh Phan , “Institutional Ownerships, Board Diversity and Corporate Innovation ” , 2017 , 2017 American Accounting Association Annual Meeting , 2017 /8 /4 ~ 2017 /8 /10 , United States .
  7. Ahmad Juliana; Hai-Chin Yu , “CEO Compensation, Managerial Ability, and Corporate Innovation” , 2017 , 2017 American Accounting Association Annual Meeting , 2017 /8 /4 ~ 2017 /8 /10 , United States .
  8. Hai-Chin Yu; Pekka Hietala , “Main Bank Relationship, Asymmetric Information and Syndicated Loan Contract” , 2017 , 2017 American Accounting Association Annual Meeting , 2017 /8 /4 ~ 2017 /8 /10 , United States .
  9. Hai-Chin Yu;Thi-Thanh Phan, , “Institutional Ownerships, Board Diversity and Corporate Innovation” , 2016 , Vietnam Symposium in Banking and Finance , 2016 /11 /17 ~ 2016 /11 /18 , Socialist Republic of Vietnam .
  10. Hai-Chin Yu , “Debt Structure, Banking Relationships, and Innovation” , 2016 , American Accounting Association 2016 Annual Meeting , 2016 /8 /6 ~ 2016 /8 /12 , United States .
  11. Hai-Chin Yu , “International Diversification, Groups Affiliation and Corporate Innovation” , 2015 , American Accounting Association 2015 Annual Meeting , 2015 /8 /8 ~ 2015 /8 /12 , United States .
  12. Hai-Chin Yu , “Business Group, Ownership Structure and Corporate Innovation, The Case of China” , 2014 , American Accounting Association 2014 Annual Meeting , 2014 /8 /7 ~ 2014 /8 /12 , United States .
  13. Hai-Chin Yu, Ben J. Sopranzetti , “Dual Monitoring Roles of Keiretsu Style Main Bank and Corporate Cash Holdings” , 2014 , American Accounting Association 2014 Annual Meeting , 2014 /8 /4 ~ 2014 /8 /8 , United States .
  14. Hai-Chin Yu and Li-Wei Lai , “Family Firms, Compensation and Firm Innovation – Evidence of Taiwanese Semiconductor Industry” , 2014 , ICSSAM International Conference on Social Science and Management , 2014 /5 /7 ~ 2014 /5 /9 , Japan .
  15. Hai-Chin Yu and Chi-Kuan Chiu , “Family Firms, Business Group and Firm Innovation: The Case of China” , 2014 , ICSSAM International Conference on Social Science and Management , 2014 /5 /7 ~ 2014 /5 /9 , Japan .
  16. Hai-Chin Yu; Yu-Tai Yang , “Large Shareholders, Board Structure and Firm Value- Evidence from Chinese Listed Firms ” , 2013 , American Accounting Association 2013 Annual Meeting , 2013 /8 /3 ~ 2013 /8 /7 , United States .
  17. Hai-Chin Yu , “Large Shareholders, Organizational Life Cycles and Innovation- Evidence from Chinese Listed Firms” , 2013 , American Accounting Association 2013 Annual Meeting , 2013 /8 /4 ~ 2013 /8 /8 , United States .
  18. Hai-Chin Yu , “Family Ownership, Organizational Life Cycles and Innovation- Evidence from Chinese Listed Firms” , 2013 , American Accounting Association 2013 Annual Meeting , 2013 /8 /4 ~ 2013 /8 /8 , United States .
  19. Hsiao-Yun Hsu, Hai-Chin Yu , “The Relationship between Family-Owned Ownerships and Innovation” , 2013 , 10th Biennial Pacific Rim Conference , 2013 /3 /14 ~ 2013 /3 /17 , Japan .
  20. Corry Kam, Hai-Chin Yu , “The Relationship between Innovation and Organizational Life Cycles: Evidence of Chinese Listed Corporations” , 2013 , 10th Biennial Pacific Rim Conference , 2013 /3 /14 ~ 2013 /3 /17 , Japan .
  21. Van Hoa Nguyen, Hai-Chin Yu , “Do State-Owned Enterprises Add More Value from Banking Relationship Than Private-Owned Enterprises? The Case of China” , 2013 , 10th Biennial Pacific Rim Conference , 2013 /3 /14 ~ 2013 /3 /17 , Japan .
  22. Wen-Hoa Wei, Hai-Chin Yu , “Large Shareholders, Life Cycles and Corporate Risk Taking: Evidence of Chinese Listed Corporations” , 2013 , 10th Biennial Pacific Rim Conference , 2013 /3 /14 ~ 2013 /3 /17 , Japan .
  23. Hai-Chin YU, Luu Tien Thuan , “CEO Compensation, Attributes and Corporate Risk Taking- Evidence from US Listed Corporations” , 2012 , American Accounting Association 2012 Annual Meeting , 2012 /8 /2 ~ 2012 /8 /4 .
  24. Hai-Chin Yu , “ Legal Environment, Firm Life Cycle and Ownership Structure of Block Shareholders- In a Transition Economy of China” , 2012 , American Accounting Association 2012 Annual Meeting , 2012 /8 /4 ~ 2012 /8 /8 .
  25. Hai-Chin Yu , “ Large Shareholders, Entrepreneurship and Corporate Growth ” , 2012 , Western Economic Association International 87th Annual Meeting , 2012 /6 /29 ~ 2012 /7 /3 .
  26. Hai-Chin YU , “Multiple Large Shareholders, Multiple Banking Relationships and Corporate Risk” , 2011 , Western Economics Association International 86th Annual Conference , 2011 /6 /30 ~ 2011 /7 /3 .
  27. Hai-Chin Yu , “Multiple Large Shareholders, Multiple Banking Relationships and Corporate Risk” , 2011 , the 4th Quantitative Finance and Risk Management Conference , 2011 /1 /15 ~ 2011 /1 /15 .
  28. Hai-Chin Yu; Lee Chya-Ru , “Does the Regime of A Country’s Investor Protection Influence the Relation of R&D on GDP?- Evidence from Twenty-Three OECD Countries” , 2010 , Western Economic Association International 85th Annual Conference , 2010 /6 /29 ~ 2010 /7 /3 .
  29. Hai-Chin YU , “Keiretsu Style Main Bank, Influential Power, and Moral Hazards” , 2010 , 2010 Financial Markets and Prospects Conference between China and Taiwan , 2010 /3 /5 ~ 2010 /3 /6 .
  30. Hai-Chin YU; Ben J. Sopranzetti; Cheng-Few Lee , “The Signaling Effects of Foreign Banking Relationships and Foreign Bank Collaterals on Firm Value” , 2010 , 2010 Quantitative Finance and Risk Management Conference , 2010 /1 /15 ~ 2010 .
  31. Hai-Chin YU , “Keiretsu Style Main Bank, Influential Power, and Cash Holdings” , 2009 , 2009 Quantitative Finance and Risk Management Conference, held by National Chou-Tong University in Shi-Chu, Taiwan (NSC-97-2410-H-033-011) , 2009 /1 /18 ~ 2009 .
  32. Hai-Chin YU, Ben sopranzetti, C.F. Lee , “Diffuse Banking Relationships, Concentrated Ownership, and Firm Performance” , 2009 , 2009 Quantitative Finance and Risk Management Conference, held by National Chou-Tong University in Shi-Chu, Taiwan , 2009 /1 /16 ~ 2009 .
  33. Hai-Chin YU, Sean Chi Chen, Der Tzon Hsieh , “Keiretsu style main bank relationships, R&D investment, leverage, and firm value: quantile regression approach” , 2008 , 17th European Financial Management Association conference , 2008 /6 /25 ~ 2008 /6 /30 .
  34. Hai-Chin YU; Anita K. Pennathur , “Banking Relationships, Public Debt, and Firm Profitability: Evidence from Taiwanese Firms” , 2007 , 2007 FMA Annual Meeting , 2008 /10 /18 ~ 2008 /10 /22 .
  35. Hai-Chin Yu, Chia-Yi Wu , “Does Weekday Effect Still Exist? Evidence from DJIA and NASDAQ High Frequency Indices” , 2007 , Western Economic International Association , 2007 /7 ~ 2007 .
  36. Hai-Chin YU, Chiou, Ingyu, James Jordan-Wagner , “Does the Weekday Effect of the Yen/Dollar Spot Rates Exist in Tokyo, London, and New York? An Analysis of Panel Probability Distributions” , 2006 , 13th International Panel Data Conference , 2006 /7 /7 ~ 2006 /7 /9 .
  37. Chiang, Thomas C.N. , Hai-Chin YU, Ming-Chya Wu , “The Empirical Evidence of High Frequency Intraday Stock Returns: Dow-Jones and NASDAQ Indices” , 2006 , Eastern Finance Association 2006 Annual Meeting , 2006 /4 ~ 2006 /4 .
  38. Chiang, Thomas C.N. , Hai-Chin YU, Ming-Chya Wu , “Statistical Properties, Dynamic Conditional Correlation, Scaling Analysis of High Frequency Intraday Stock Returns: Evidence from Dow-Jones and NASDAQ Indices” , 2005 , The 18th Australian Banking and Finance Annual Meeting , 2005 /12 /14 ~ 2005 /12 /16 .
  39. Chiou, Ingyu, James Jordan-Wagner and Hai-Chin YU , “How Do Currency Markets Interact? Evidence from Tokyo, London, and New York” , 2005 , American Academy of Accounting and Finance 2005 Annual Meeting , 2005 /12 /8 ~ 2005 /12 /10 .
  40. Chiou, Ingyu, James Jordan-Wagner and Hai-Chin YU , “The Pricing Transmission of the Yen-Dollar Exchange Rates in London, New York, and Tokyo” , 2005 , Academic of Finance Conference 2005 , 2005 /3 ~ 2005 /3 .
  41. Hai-Chin Yu, , “ Multiple Banks Monitoring, Managerial Ownership and Tobin’s Q- a Nonlinear 3SLS Simultaneous Equation Model, ” , 2004 , Western Economic Association International Annual Meeting, July, 2004, Vancouver, Canada. , 2004 /7 ~ 2004 /7 .
  42. Hai-chin YU , “Multiple Banks Monitoring, Managerial Ownership and Tobin’s Q- a Nonlinear 3SLS Equation Model, ” , 2004 , FMA/Asian Finance Association/TFA 2004 Asian Conference, July, 2004, Taipei. , 2004 ~ 2004 .
  43. Hai-Chin Yu, Multiple , “Banks Monitoring, Managerial Ownership and Tobin’s Q- a Nonlinear 3SLS Simultaneous Equation Model, ” , 2004 , Western Economic Association International Annual Meeting, , 2005 /7 /9 ~ 2005 /7 /12 .
  44. Hai-Chin Yu , Der-Tzon Hsieh , “Multiple Versus Single Banking Relationships: Some Taiwanese Evidences” , 2003 , International Banking Conference , 2003 /9 /9 ~ 2003 /9 /10 .
  45. Hai-Chin Yu , Ming-Chang Huang , Der-Tzon Hsieh , “Fractal Dimensions, GARCH, Moving Average and Volatility of Stock Market: The Case of USA, Japan, Singapore, Hong Kong, Korea and Taiwan” , 2003 , Quantitative Methods in Finance Conference , 2003 /12 /10 ~ 2003 /12 /13 .
  46. Hai-Chin Yu , Der-Tzon Hsieh , “Bank Debt, Bank Relationship and Information Disclosure---Some Taiwanese Evidence” , 2003 , Western Economic Association International , 2003 /7 ~ 2003 /7 .
  47. Hai-Chin Yu , “Bank Monitoring, Managerial Ownership and Tobin's Q, ” , 2003 , Taiwan Economic Association Annual Meeting , 2003 /12 /21 ~ 2003 /12 /21 .
  48. Hai-Chin Yu Ming-Chang Huang and Der-Tzon Hsieh , “Using Fractal Dimensions to Measure the Volatility of Stock Market: The Case of USA, Japan, Singapore, Hong Kong, Korea and Taiwan” , 2003 , Association of Southern European Economic Theorists 2003 Annual Conference - ASSET 2003 , 2003 ~ 2003 .
  49. Ming-Chang Huang, Hai-Chin Yu , “Fractal Dimensions to Measure the Volatility of Stock Market: The Case of USA, Japan and Taiwan” , 2003 , 5th Biennial Pacific Rim Conference, WEAI conference , 2003 ~ 2003 .
  50. 俞海琴,蔡政哲 , “認購權證發行前後對標的股票報酬波動、貝他風險與交易量影響之研究” , 2002 , 中華民國風險管理年會暨論文研討會 , 2002 ~ 2002 .
  51. Hai-Chin Yu,Ching-Lu Lee,,Ben-Chieh Liu , “The Relationship Among Bank Debt, Leverage and Tobin's Q in Taiwan's Stock-Listed Companies-- a Simultaneous Equation Model” , 2001 , International Conference of Pacific Rim Management , 2001 ~ 2001 .
  52. 俞海琴 , “張榮發之生平及創業過程” , 1997 , 跨世紀新知論壇研討會 , 2001 ~ 2001 .
  53. 俞海琴,曹振華 , “我國商業銀行存款保險費率與風險導向資本適足水準關係之研究” , 1995 , 存款保險學術研討會論文集 , 2001 ~ 2001 .
  54. 俞海琴,李紹璧 , “技術創新對我國商業銀行營業效率影響之研究” , 1995 , 中國財務學會八十四年年會論文集 , 2001 ~ 2001 .
  55. 俞海琴,洪方筑 , “新上市公司代理成本與會計師聲譽、承銷商聲譽之研究” , 1994 , 第三屆證券金融市場之理論實務研討會論文集 , 2001 ~ 2001 .
  56. 俞海琴,洪方筑 , “新上市公司會計師品質與交易量之關係” , 1994 , 邁向股票上市之路理論與實務研討會 , 2001 ~ 2001 .
  57. 俞海琴 , “精密陶瓷業-E公司個案” , 1994 , 臺灣中小企業之發展個案研討暨論文發表會 , 2001 ~ 2001 .
  58. 俞海琴 , “新經貿環境下我國中小型製造業轉型之實況及未來展望” , 1994 , 中華民國管科會封閉式研討會 , 2001 ~ 2001 .
  59. 俞海琴,劉維琪 , “銀行內部人士持股比率與資產風險關係之研究” , 1994 , 中國財務學會八十三年年會論文集 , 2001 ~ 2001 .
  60. 俞海琴,劉維琪 , “固定存款保費制度下,銀行資產品質、資產風險與資本間之關係” , 1993 , 第二屆證券金融市場之理論與實務研討會論文集 , 2001 ~ 2001 .
  61. 俞海琴,劉維琪 , “金融自由化、銀行股權結構與風險關係之實證研究” , 1993 , 1993年銀行管理研討會論文集 , 2001 ~ 2001 .
  62. 俞海琴,陳明煇 , “我國商業銀行資本與風險關係之實証研究” , 1993 , 中國財務學會八十二年年會論文集 , 2001 ~ 2001 .
  63. 俞海琴,司徒達賢 , “我國企管研究所博碩士班教授應有的教學理念與方法──建議建立教學評鑑制度列為升等考核” , 1993 , 第五屆管理教育研討會論文集 , 2001 ~ 2001 .
  64. 俞海琴,賴士葆 , “建立兩岸汽車業分工體系之研究” , 1993 , 跨越大陸投資障礙研討會 , 2001 ~ 2001 .
  65. 俞海琴,劉維琪,林炯垚,陳隆麒 , “資訊不對稱下,借款者型態與放款契約中擔保品、利率間之關係” , 1992 , 資本市場理論與實務研討會 , 2001 ~ 2001 .
專書
  1. 俞海琴 , 編著者 , “財務管理 (Ross/Core Principles and Applications of Corporate Finance 4/e)” , 麥格羅希爾出版 , 2017 , 13:9789863412953 .
  2. 俞海琴;陳隆麒 , 自著者 , “財務管理” , 華泰書局 , 2014 , ISBN-10: 9576099328 .
  3. 俞海琴;鄭駿豪 , 編著者 , “觀光與餐飲財務管理” , 華泰書局 , 2012 , 9789861578996 .
  4. 俞海琴 , 編著者 , “財務管理 (Ross/Core Principles and Applications of Corporate Finance 3/e)” , 麥格羅希爾出版 , 2012 , 9789861578606 .
  5. 謝德宗;俞海琴 , “財務管理 (隨書附贈光碟)” , 高立圖書, http://www.books.com.tw/exep/prod/booksfile.php?item=0010491703 , 2010 , 9789866534386 .
  6. 俞海琴;董佩珊 , “財務管理 (Ross/Core Principles and Applications of Corporate Finance 2/e)” , McGraw Hill , 2009 , 9789861576091 .
  7. 謝德宗; 俞海琴 , “金融機構管理 (Financial Institution Management)” , McGraw Hill Publisher , 2008 , 9789861574462 .
  8. 俞海琴, 董佩珊 , “財務管理 (Essentials of Financial Management)” , McGraw Hill Publisher , 2007 , ISNB-10: 9861574233. ISBN-13: .
  9. 俞海琴,李顯峰,李文瑞,盧信昌 , “國際貿易理論與政策” , 空中大學 , 2001 .
  10. 俞海琴,李顯峰,李文瑞,盧信昌 , “國際貿易理論與政策” , 空中大學 , 2001 .
  11. 俞海琴,謝德宗 , “現代投資學” , 華泰書局 , 2001 .
  12. 俞海琴 , “我國商業銀行存款保險、風險與市場價值之研究” , 國科會 , 1999 .
  13. 賴士葆,俞海琴 , “建立兩岸汽車業分工體系” , 中華民國管理科學學會 , 1993 .
  14. 俞海琴 , “資訊不對稱下本國銀行放款市場之研究 (博士論文獲龍騰論文獎)” , 宏碁科技 , 1992 .
  15. 俞海琴 , “資訊不對稱下本國銀行放款市場之研究” , 1992 .
  16. 俞海琴 , “金融服務多樣化之研究” , 1990 .
  17. 邊裕淵,余雪明,李文瑞,俞海琴 , “國際金融與匯兌(上)” , 空中大學 , 1989 .
  18. 邊裕淵,余雪明,李文瑞,俞海琴 , “國際金融與匯兌(下)” , 空中大學 , 1989 .
  19. 俞海琴 , “我國央行外匯干預行為之研究” , 1986 .
部分專書
  1. Hai-Chin Yu, Cheng-Few Lee, Ben J. Sopranzetti , 自著者 , “Financial Reforms and The Differential Impact of Foreign versus Domestic Banking Relationships on Firm Value” , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 25 , New York: World Scientific Publishing , 2020 , ISBN: 978-981-12-0238-4 .
  2. Chia-Hui Chao; Hai-Chin Yu , 自著者 , “Social Media, Bank Relationships and Firm Value” , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 66 , New York: World Scientific Publishing , 2020 , ISBN: 978-981-12-0238-4 .
  3. Hai-Chin Yu; Chia-Ju Lee; Der-Tzon Hsieh , 自著者 , “Does Quantile Co-Integration Exist Between Spot And Future Gold Prices?” , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 92 , New York: World Scientific Publishing , 2020 , ISBN: 978-981-12-0238-4 .
  4. C F Lee; Hai-Chin Yu , 自著者 , “Application of Discriminant Analysis, Factor Analysis, Logistic Regression, and KMV-Merton Model in Credit Risk Analysis” , Handbook of Financial Econometrics, Mathematics, Statistics, and Machine Learning, Chapter 25 , New York: World Scientific Publishing , 2020 , ISBN: 978-981-12-0238-4 .
  5. Tung-Li Shih, Hai-Chin Yu, Der-Tzon Hsieh, and Chia-Ju Lee , 編著者 , “Realized Distributions of Dynamic Conditional Correlation and Volatility Thresholds in the Crude Oil, Gold and Dollar/Pound Currency Markets ” , Handbook of Financial Econometric and Statistics, Volumes I, II& III, Chapter 58 , Springer-Verlag New York , 2015 , 978-1-4614-7751-8 .
  6. Hai-Chin Yu, Sean-Chih Chen, and Der-Tzon Hsieh , “Keiretsu style main bank relationships, R&D investment, leverage, and firm value: quantile regression approach, Handbook of Quantitative Finance and Risk Management, Volumes I, II& III ” , Handbook of Quantitative Finance and Risk Management, Volumes I, II & III , Springer Publisher , 2010 , 978-0-387-77116-8 .
技術報告
  1. 俞海琴 , “主要銀行關係,資訊不對稱與銀行聯貸契約” , 2018 .
  2. 俞海琴 , “國際多角化,集團與公司創新之關係” , 2015 .
  3. 俞海琴 , “集團企業,股權結構與創新-中國上市公司之實証” , 2014 .
  4. 俞海琴 , “大股東結構,組織生命週期與創新之關係─中國上市公司之實證研究” , 2013 .
  5. 俞海琴 , “法律環境,企業生命週期與大股東結構─中國實證 Legal Environment, Firm Life Cycle and Ownership Structure of Block Shareholders- In a Transition Economy of China” , 2012 .
  6. 俞海琴 , “多重銀行關係,多重大股東與風險承擔關係之研究-中國上市公司之實證” , 2011 .
  7. 俞海琴 , “集團式銀行關係, 公司治理 與道德危險之關係- 日本上市公司之實証研究” , 2010 .
  8. 俞海琴 , “集團式銀行關係, 公司治理 與現金持有之關係- 日本上市公司之實証研究” , 2009 .
  9. 俞海琴 , “我國上市公司銀行借款,成長機會與資訊揭露關係之研究” , 2004 .
  10. 俞海琴 , “成長機會 , 管理者自主性與融資決策 --台灣地區之實証” , 2003 .
  11. 蔡渭水, 俞海琴 , “電價敏感度分析研究 ” , 2003 .
  12. 俞海琴 , “我國上市公司銀行貸款, 槓桿與 托賓Q互動關係之研究 ” , 2002 .
  13. 俞海琴 , “價值投資法於台灣股市適用性之研究-高科產業與傳統產業之配對比較” , 2001 .
  14. 俞海琴 , “不同規模情況下,銀行經理人之風險偏好--理論與實証” , 2000 .
  15. 俞海琴 , “我國商業銀行存款保險,風險與市場價值關係之研究” , 1999 .
  16. 俞海琴 , “我國商業銀行資本與盈餘互動關係之研究” , 1998 .
  17. 俞海琴 , “我國銀行資本結構與流動性資產需求關係之研究” , 1997 .
  18. 俞海琴 , “我國破產法及艱困上市公司破產重整行為之研究” , 1996 .
  19. 俞海琴 , “資訊科技對銀行經營績效影響之研究” , 1995 .
  20. 俞海琴 , “獎助私立專科學校改善師資效果訪視報告(59 所大專院校評鑑報告)” , 1994 .
  21. 俞海琴 , “我國商業銀行資本與風險關係之實證研究” , 1994 .
  22. 俞海琴 , “台灣地區上市公司代理成本高低與融資決策之關係-管理者自利心假說之實證” , 1993 .