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by 趙永祥 2015-01-27 05:01:39, 回應(0), 人氣(4176)





    Dr. Chao Yuang Shiang 


                            Profile linked to Amazon website        
               
                    https://www.amazon.com/Yuang-Shiang-Chao/e/B00IV30N1E
                             

                          Profile & Publication in ORCID


             
                         https://orcid.org/0000-0002-2303-0988
                 
                            趙永祥


                  Publication Performance

                (期刊論文暨專業著作研究成果: 2015-2020)

                                 財務金融學系 趙永祥 博士

     財務金融學系教師教學研究(2015-2023年2月)

 教師姓名:趙永祥

 期刊論文研究成果

 中國如何面對經濟下行與金融爆雷風險之危機與挑戰
       趙永祥(*通訊作者) 邱素津 白宗民

中國如何面對經濟下行與金融爆雷風險之危機與挑戰
How Does China Face the Crisis and Challenges of the Turbulent
Economic Downturn and the Risk of Financial Explosion?

全球管理與經濟;19卷2期 (2023/12/01)P19 - 46

DOI: 10.6565/JGME.202312_19(2).0002

https://beta.airitilibrary.com/Publication/alDetailedMesh?DocID=1817745X-N202312260014-00002&PublishTypeID=P001


教師姓名

期刊論文研究成果

趙永祥

趙永祥,邱素津,白宗民(2022),中國房地產泡沫化危機對於經濟與金融發展之影響,

全球管理與經濟, 182期,頁33-56

中國房地產泡沫化危機對於經濟與金融發展之影響

The Impact of China's Real Estate Bubble Crisis on Economic and Financial Development

趙永祥(Yuang-Shiang Chao) ; 邱素津(Su-Chin Chiu) ; 白宗民(Tzung-Min Pai)

全球管理與經濟 ; 18卷2期 (2022 / 12 / 01) , P33 - 56

DOI: 10.6565/JGME.202212_18(2).0003 DOI

房地產泡沫化危機 ; 資金斷鍊危機 ; 經濟發展 ; 經濟衝擊 ; 

Real Estate Bubble Crisis ; Capital Chain Crisis ; Economic Development ; Economic Impact

趙永祥,白宗民,吳依正(2021),COVID-19時代大陸台商投資區位選擇與投資風險評估之研究,全球管理與經濟, 171期,頁35-58

出刊網址連結


https://www.airitilibrary.com/Publication/alPublicationJournal?PublicationID=1817745X&IssueYear=2021

趙永祥,白宗民,(2020), COVID-19後疫情大陸台商多角化投資策略與經營績效之探究-以台灣上市櫃科技企業為例, 全球管理與經濟, 162期,頁78-94

趙永祥,白宗民,邱素津,(2019),國際化深度與多角化策略對企業財務績效與價值影響

之研究-以台灣地區傳統產業及新興高科技產業為例,全球管理與經濟,第152,1-24

Chao Yuang Shiang (single author), “Risk Management And Diversification Strategy To Evaluate Mne Systematic Risk In Emerging Economy”, (2018), Romanian Journal of Economic Forecasting, Vol.21, No. 3, pp.131-152. SSCI journal

十九大後「一帶一路」政策對中國經濟全球擴展之分析(An Analysis of the Global Expansion of China's Economy via the "One Belt and One Road" Policy after the 19th National Congress of China), (2018), 

全球管理與經濟,卷期: 141, 頁次: pp.39-68.,第一作者、通訊作者

Chao Yuang Shiang, “Is Diversification Strategy Good to Performance Investing in China?”, (2017), International Journal of Business and Strategy, single author, Vol.18, No. 2, December, 2017

金融科技(FinTech)創新對保險業未來發展與影響之研究, (2017), 

壽險管理年報(年刊),頁次: pp.1-31. 趙永祥, 單一作者

Chao Yuang Shiang (single author) ,2016, “An Empirical Study on Evaluating the Impacts of Diversification Configuration to Performance and Risk via Investment in China”, International Journal of Business and Strategy, Vol 17, No.1, pp.67-94.

從「一帶一路」與「亞洲基礎設施投資銀行」分析中國經濟版圖擴張之挑戰與效益,

華人經濟研究,卷期: 121,出版年月:2016.03(收藏於國家圖書館期刊文獻資訊網),

第二作者,通訊作者,頁次:81-102

趙永祥、白宗民、吳依正,「一帶一路對大陸經濟與台灣未來發展之影響」,

華人經濟研究, 2016,第14卷第2期,頁111-130



Chao Yuang-Shiang

Chao Yuang Shiang (March/2016). An Empirical Study on Evaluating the Impacts of Diversification Configuration to Performance and Risk via Investment in China”, International Journal of Business and Strategy, Vol 17, No.1, pp.67-94. 單一作者

Chao Yuang-Shiang

Chao Yuang Shiang (September/2015), Entrepreneurship, International Diversification and Environmental Uncertainty on Firm Performance”, International Journal of Business and Strategy,Vol 16, No.1, pp.61-92.

Chao Yuang-Shiang

Chao Yuang Shiang (June/2015). An Empirical Study on Global Value Chains Developments and Regional Economic  Integration in Emerging Economy ”, Journal of Global Small and Medium Enterprise, Vol.6, No.1. 

https://www.morebooks.de/store/gb/book/global-value-chains-and-regional-economic-integration-development/isbn/978-3-659-45961-0

Chao Yuang-Shiang

西文財經專書一,Author: Yuang Shiang Chao. MNE Investment Strategy and Risk Evaluated in China-The Joint Effects of MNE's Diversification Strategy on Performance and Systematic Risk Evaluated in China Investment(Published on 25-July-2012)(ISBN: 978-3-659-10694-1)本專書由德國LAP 出版機構在 25-July-2012,全球89個國家,6,500 多家出版商出版,

Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/

http://books.prettyfamous.com/l/10876241/Mne-Investment-Strategy-and-Risk-Evaluated-in-Chin-Yuang-Shiang-Chao

Chao Yuang-Shiang

西文財經專書二,Author: Yuang Shiang Chao (2012, August).“What Government Bonds and Investors Matter in Global Financial Crisis? - Evidence and Strategic Thinking” (Published on 23-August-2012)(ISBN : 978-3-659-22419-5)

本專書由德國LAP出版機構在 23-August-2012出版,全球89個國家,6,500多家出版商通路出版,Publishing house: LAP LAMBERT Academic Publishing 

Website: https://www.lap-publishing.com/

The third book entitled 
"Global Value Chains and Regional Economic Integration Development"

(Published on 05-September-2013)

本專書由德國LAP出版機構在 5-September-2013, 全球89個國家,6,500多家出版商通路商出版 (ISBN:978-3-659-45961-0)

https://www.morebooks.de/store/gb/book/global-value-chains-and-regional-economic-integration-development/isbn/978-3-659-45961-0

Chao Yuang-Shiang

西文財經專書三,Author: Yuang Shiang Chao (2013, September).“ Global Value Chains and Regional Economic Integration Development” (Published on 05-September-2013),本專書由德國LAP出版機構出版全球89個國家, 6,500多家出版商通路出版(ISBN:978-3-659-45961-0)

Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/


https://www.morebooks.de/store/gb/book/global-value-chains-and-regional-economic-integration-development/isbn/978-3-659-45961-0

The fourth book 

西文財經專書四Author: Yuang Shiang Chao (2017, February).

MNE Investment and Risk Management in China

-Geographical Diversification Strategy to Evaluate Performance and Systematic Risk in Emerging Economy

 

 

 

 

  Updated date:14-February-2023 


The English textbooks published website linkage

(Four Published Books shown in Amazon) 


https://www.morebooks.de/search/%20gb?page=2&q=+Yuang+Shiang+Chao+&search_term=+Yuang+Shiang+Chao+&via_keyword=1


https://www.amazon.com/s/ref=la_B00IV30N1E_B00IV30N1E_sr?rh=i%3Abooks&field-author=
Yuang+Shiang+Chao&sort=relevance&ie=UTF8&qid=1489443077

MNE Investment Strategy and Risk Evaluated in China

The Joint Effects of MNE's Diversification Strategy on Performance and 

Systematic Risk Evaluated in China Investment

LAP LAMBERT Academic Publishing (2012-July-24 )

https://www.morebooks.de/store/gb/book/

mne-investment-strategy-and-risk-evaluated-in-china/

isbn/978-3-659-10694-1



****************************************************************************************
What Government Bonds and Investors Matter in 

Global Financial Crisis?

-Evidence and Strategic Thinking

LAP LAMBERT Academic Publishing (2012-August-22 )

https://www.morebooks.de/store/gb/book/

what-government-bonds-and-investors-matter-in-global-financial-crisis/isbn/978-3-659-22419-5



****************************************************************************************

Global Value Chains and Regional Economic Integration Development

LAP LAMBERT Academic Publishing (2013-September-05 )

https://www.morebooks.de/store/gb/book/

global-value-chains-and-regional-economic-integration-development/

isbn/978-3-659-45961-0


三本西文財經專書瀏覽方式:將上述網址複製後,再貼到入口網站之空白處即可



***************************************************************************************

The fourth Book 

项目 ID : #2139

MNE Investment and Risk Management in China

Geographical Diversification Strategy to Evaluate Performance and Systematic Risk in Emerging Economy



https://www.goldenlight-publishing.com/

Published date:10-February-2017

ISBN:978-3-330-82095-1


作者 :Yuang Shiang Chao


106344
Faculty,Dep.of Finance,Nan Hua University/integrated marketing consultant/
Counseling Consultant in governmental institution:
Dep.of SME,Ministry of Economics,Taiwan/WHO's WHO,The honored member 
in Worldwide Branding institution
Main research:risk management & performance Evaluated/
investment strategy


MNE Investment and Risk Management in China

Author: Dr. Yuang Shiang Chao

Faculty, Dep. of Finance, Nan Hua University

 

ISBN-13: 978-3-330-82095-1

ISBN-10: 3330820950

EAN: 9783330820951

Book language: English

Blurb/Short text:

This book mainly assesses the joint effects of diversification configuration on 

MNE performance and systematic risk. Findings suggest that their joint effects 

are curvillinear on performance and systematic risk. Furthermore, low level 

of region and moderate level of country diversification shows significant positive 

effect on MNE performance and negative effect on systematic risk.

We construct the terminology “balanced configuration in geographical 

diversification” to identify averaging the balance of geographical diversification 

between country and region via moderate concentrated China involvement is the 

optimal strategic diversification strategy to gain better performance and low risk.

Publishing house: 金琅学术出版社

Website: https://www.goldenlight-publishing.com

By (author) : Yuang Shiang Chao

Number of pages: 224

Published on: 2017-02-13

Stock: Available

Category: Business management

Price: 43.80 €

Keywords:

Emerging economyJoint EffectsMultinational Enterprises (MNEs)performance

Geographical DiversificationChina involvement (CI)Risk Management

·         Social sciences, law, economics

·         Economics

·         Business management

·         MNE Investment and Risk Management in China


 
https://www.morebooks.de/store/gb/book/mne-investment-and-risk-management-in-china/isbn/978-3-330-82095-1

https://www.morebooks.de/bookprice_offer_4b1a4562b47ec0f8e72bf2f641fef2f83b27a4e4?auth_token=d3d3LmdvbGRlbmxpZ2h0LXB1Ymxpc2hpbmcuY29tOjMwNWNiOTQxYTE4Nm

ExNTgxMmJlMTRjZmVmMDRlMjEy&locale=gb&currency=EUR


What Government Bonds and Investors Matter in Global Financial Crisis?: Evidence and Strategic Thinking         Global Value Chains and Regional Economic Integration Development         MNE Investment Strategy and Risk Evaluated in China: The Joint Effects of MNE's Diversification Strategy on Performance and Systematic Risk Evaluated in China Investment   

https://www.morebooks.de/search/%20gb?page=2&q=+Yuang+Shiang+Chao+&search_term=+Yuang+Shiang+Chao+&via_keyword=1



MNE Investment and Risk Management in China: Geographical Diversification Strategy to Evaluate Performance and Systematic Risk in Emerging Economy


https://www.morebooks.de/store/gb/book/mne-investment-and-risk-management-in-china/isbn/978-3-330-82095-1


Publication Update date:25-March-2017


趙永祥博士 期刊論文研究成果可在 Airiti 華藝線上圖書館查詢

http://www.airitilibrary.com/Search/CheckTheBelowConditions?whichOne=MainContain&SearchFieldList_obj=%5B%7B%22SearchString%22%3A%22%E8%B6%99%E6%B0%B8%E7%A5%A5%22%2C%22SearchType%22%3A%22%E4%BD%9C%E8%80%85%22%2C%22SearchFieldCondition%22%3A%22AND%22%7D%5D&AfterClassificationList_obj=%5B%5D&ArticleArea_Taiwan=False&ArticleArea_ChinaHongKongMacao=False&ArticleArea_American=False&ArticleArea_Other=False&PublicationType=%E6%9C%9F%E5%88%8A%E6%96%87%E7%AB%A0%20%E6%9C%83%E8%AD%B0%E8%AB%96%E6%96%87%20%E7%A2%A9%E5%8D%9A%E5%A3%AB%E8%AB%96%E6%96%87%20%E9%9B%BB%E5%AD%90%E6%9B%B8&SelectPublicationType=%E6%9C%9F%E5%88%8A%E6%96%87%E7%AB%A0&Languages=%7B%7D&IssueYears=%5B%5D&SortType=%E7%9B%B8%E9%97%9C%E7%A8%8B%E5%BA%A6%E6%9C%80%E9%AB%98&Text=%E4%B8%8D%E9%99%90&SearchType=AD&PageSize=10&QueryExpression=%5BAU%5D%3A%E8%B6%99%E6%B0%B8%E7%A5%A5



Journal of Applied Economics (SSCI Journal)

https://www.ucema.edu.ar/sites/default/files/JAE_Transfer_of_copyrightENG.pdf


***************************************

近期學術研究成果(2020/02/12更新)


    International Journal papers (Published Already)

1Chao Yuang Shiang (single author;Published: October/2018

RISK MANAGEMENT AND DIVERSIFICATION STRATEGY TO EVALUATE MNE SYSTEMATIC RISK IN EMERGING ECONOMY”, Romanian Journal of Economic Forecasting(listed in Social Science Citation Index Journal, SSCI Journal),

Vol.21, No. 3, pp.131-152, October, 2018


2. Chao Yuang Shiang (Published: March/2016). 

An Empirical Study on Evaluating the Impacts of Diversification Configuration to Performance and Risk via Investment in China”,International Journal of Business and Strategy, Vol 17, No.1, pp.67-94. 

3. Chao Yuang Shiang (September/2015), "Entrepreneurship,International Diversification and Environmental Uncertainty on Firm Performance", International Journal of Business and Strategy,Vol 16,No.1, pp.61-92.

4. Yuang Shiang Chao (2013, Jun). “TaiwanMNEs’ High China-Concentrated Investment Strategy is Good for Performanceor not?”, International Journal of Business and Strategy,
Vol. 14, No. 1 

5. Chao Yuang Shiang (2012, Sep). “The Global Financial Crisis in Emerging Economy:Strategic Developmental Thinking”,International Journal of Business and Strategy,Vol.13, No. 1,P.20-P.39.

6. Pan Wei Hwa, Chao Yuang Shiang* (2011,Jan). “Geographically-Diversified FDI and China-involved Investment: A Review and Examination for Taiwan MNE”,The Journal of Global Business Administration, Canada, 3(1),27-54.(Corresponding author)


7. Chao Yuang-Shiang*, 
Pan Wei-Hwa (2010,June), “Global Supply Chain Integration Strategy between ProductDiversification and Performance: Taiwan MNE’s Empirical Study”,InternationalJournal of Business and Strategy, Vol.11, No1, P.29-P.56


8. Chao Yuang Shiang*, Pan Wei Hwa, (2010, Febuary),
“The Joint Effects of Geographical Diversification to MNEs’ Performance through China Investment. , The Journal of Global Business Management,6(1), pp. 35-48.(Corresponding author) http://www.jgbm.org/page/7%20Yuang-Shiang%20Chao%20.pdf.


9. Chao Yuang-Shiang*, Pan Wei-Hwa (2009,Dec). 
“The Integrated Effects between Diversification and China Dependency Investment: A Review, Examination and Evidence”, International Journal of Global Business, No.2, Vol.2,  P.180-P.214. 


國內期刊論文

篇名:當前中國大陸銀行體系公司治理之研究

作者:趙永祥

刊名:華人經濟研究

卷期:13卷2期

出版年月:201509

頁次:頁1-16

關鍵詞:公司治理;商業銀行;股權結構;產權再造;Corporate governance;Commercial banks;Shareholding structure;Ownership restructuring


篇名:區位選擇與制度模式對臺商大陸投資影響之研究

作者:趙永祥

刊名:全球管理與經濟

卷期:11卷1期

出版年月:201506

頁次:頁15-40

關鍵詞:區位選擇;制度因素;臺商投資;

FDI;Location choice;Institutional mode;Taiwan firms' investment


篇名:熱錢效應對中國金融體系發展之分析

作者:趙永祥

刊名:全球管理與經濟

卷期:10卷2期

出版年月:201412

頁次:頁39-56

關鍵詞:熱錢;人民幣;貨幣政策;泡沫化危機;中國金融體系;

Hot money;China Yuan;Monetary policy;Bubbling risk;China financial system


篇名:兩岸金融產業合作能否創造雙贏?

作者:趙永祥

刊名:華人前瞻研究

卷期:10卷2期

出版年月:201411

頁次:頁53-68

關鍵詞:兩岸金融;金融產業;中國金融機構;國際經濟;

Cross-strait financial;Financial industry;financial institutions;International economy


篇名:後全球金融危機中國大陸房市是否有泡沫化危機?

作者:趙永祥;吳依正

刊名:華人經濟研究

卷期:12卷1期

出版年月:201403

頁次:頁169-187

關鍵詞:全球金融危機;泡沫化;信用風險;

Global financial crisis;Housing market bubbling;Credit risk


篇名:國際化程度與多角化策略對電子公司營運績效與公司價值影響之研究

作者:趙永祥

刊名:全球管理與經濟

卷期:9卷2期

出版年月:201312

頁次:頁36-61

關鍵詞:產品多角化;國際化程度;營運績效;公司價值;

Internationalized policy;Product diversification;Finance performance;Corporate value


篇名:政策制度與投資區位策略對大陸臺商投資之影響

作者:趙永祥

刊名:全球管理與經濟

卷期:9卷1期

出版年月:201306

頁次:頁26-53

關鍵詞:投資區位策略;政策制度;投資;

Location choice;Policy-institutional mode;Investment


篇名:區位選擇與制度模式對大陸臺商投資績效影響之研究

作者:潘啟華;趙永祥

刊名:東亞論壇

卷期:478期

出版年月:201212

頁次:頁1-20

關鍵詞:區位選擇;規制性制度;規範性制度;投資績效;

Location choice;Institutional mode;Investment performance


篇名:投資大陸區位選擇與制度環境模式對臺商投資影響之研究

          --兼論臺商經營困境與因應之道

作者:趙永祥

刊名:全球管理與經濟

卷期:8卷2期

出版年月:201212

頁次:頁98-132

關鍵詞:區位選擇;制度因素;臺商投資;

Location choice;Institutional environment mode;Taiwan firms; investment


篇名:中國大陸投資進入模式與績效關聯性之研究

作者:趙永祥;李在僑;潘啟華

刊名:華人經濟研究

卷期:10卷2期

出版年月:201209

頁次:頁43-57

關鍵詞:市場進入模式;經營績效;大陸投資


篇名:醫務核保之風險管理研究

作者:趙永祥;呂廣盛

刊名:壽險管理

卷期:25期

出版年月:201203

頁次:頁157-171

關鍵詞:醫務核保;核保風險;風險管理


篇名:歐債危機對全球經濟與金融發展之影響

作者:趙永祥

刊名:東亞論壇

卷期:475期

出版年月:201203

頁次:頁29-47

關鍵詞:歐債危機;全球經濟;全球金融;歐元區;歐盟;

EU;European debt crisis;The global economy;

Global finance;The euro zone;The European Union


篇名:綜合零售業市場競爭策略之分析

作者:趙永祥

刊名:華人經濟研究

卷期:10卷1期

出版年月:201203

頁次:頁1-27

關鍵詞:資源基礎理論;競爭優勢;競爭策略;綜合零售業;

Resource-based theory;Competitive advantages;Competitive strategy;General retail industry


篇名:現金減資宣告效果探討--以事件研究法為例

作者:李在僑;趙永祥

刊名:育達科大學報

卷期:30期

出版年月:201203

頁次:頁103-131

關鍵詞:現金減資;事件研究法;

Cash capital reduction;The event study method


篇名:後金融危機大陸銀行業面臨之挑戰與因應策略

作者:趙永祥;邱素津;李在僑

刊名:全球管理與經濟

卷期:7卷2期

出版年月:201112

頁次:頁109-128

關鍵詞:全球金融危機;大陸銀行業;潛在信用風險;公司價值;

Global financial crisis;China banking industry;Potential credit risk;Reform policy


篇名:國際化深度對企業財務績效與公司價值影響之研究

作者:趙永祥;李在僑;潘啟華

刊名:東亞論壇

卷期:473期

出版年月:201109

頁次:頁49-71

關鍵詞:產品多角化;國際化深度;財務績效;公司價值;

Internationalized depth;Finance performance;Corporate value


篇名:後ECFA時代兩岸產業發展趨勢之探討

作者:趙永祥;邱素津;張清德

刊名:全球管理與經濟

卷期:7卷1期

出版年月:201106

頁次:頁32-52

關鍵詞:兩岸合作框架協議;產業創新發展趨勢;差異化競爭;

ECFA;Economic Cooperative Framework Agreement;

Industrial innovation and developmental trends;Differential competition


篇名:中國十二五計劃與ECFA對兩岸經貿與臺商未來發展之影響

作者:趙永祥;潘啟華;邱素津

刊名:東亞論壇

卷期:472期

出版年月:201106

頁次:頁23-54

關鍵詞:中國十二五計畫;兩岸經貿;China Twelve Five-Year Plan;

Economic Cooperation Framework Agreement;

ECFA;Cross-strait economic and trade development;Taiwan firms


篇名:吸引跨國企業在大陸投資策略與影響之分析

作者:趙永祥;曾銘深;邱素津

刊名:華人經濟研究

卷期:9卷1期

出版年月:201103

頁次:頁35-49

關鍵詞:跨國企業;國際化策略;投資策略;國際分工;

Multinational enterprises;MNEs;International strategy;

Investment strategy;International division of labor force


Publication Performance

(期刊論文暨專業著作研究成果/2013-2014)

篇名:熱錢效應對中國金融體系發展之分析

刊名:全球管理與經濟

卷期: 102

出版年月:201412

趙永祥(201412月)(國家圖書館期刊文獻資訊網)。

本人為第一作者、通訊作者。該論文收藏於國家圖書館期刊文獻資訊網。


篇名:兩岸金融產業合作能否創造雙贏

刊名:華人前瞻研究

卷期: 102

出版年月:201411

篇名:熱錢效應對中國金融體系發展之分析

刊名:全球管理與經濟

卷期: 102

出版年月:201412

篇名:後全球金融危機中國大陸房市是否有泡沫化危機?

刊名:華人經濟研究

卷期:121

出版年月:201403

頁次:169-187

篇名:國際化程度與多角化策略對電子公司營運績效與公司價值影響之研究

作者:趙永祥

刊名:全球管理與經濟

卷期:92

出版年月:201312

頁次:36-61

篇名:政策制度與投資區位策略對大陸臺商投資之影響

作者:趙永祥

刊名:全球管理與經濟

卷期:91

出版年月:201306

頁次:26-53

中西文專業著作

網址連結

http://iofm2.nhu.edu.tw/people/bio.php?PID=15


財經類西文專書出版

The first book entitled 
"MNE investment strategy and risk evaluated in China"

本專書由德國LAP出版機構在27-April-2012, 全球89個國家,6,500多家出版商通路出版, 

ISBN 978-3-659-10694-1;


Publishing house: LAP LAMBERT Academic Publishing


Website:https://www.lap-publishing.com/



MNE Investment Strategy and Risk Evaluated in Chinaby Yuang Shiang Chao

Category: Business & Economics - Economic Conditions, Industrial Management, and Investments & Securities
Format: Paperback
Number of Pages: 180
Publisher: Lap Lambert Academic Publishing GmbH & Company KG
Publication Date: April 2012

In our findings, we link resource dependence theory to our findings to explain why China investment(CI) plays an important role in foreign diversification, especially in China. When TMNEs extend diversification activities, they can seek opportunities and new market through geographical diversification and can absorb new information and install different knowledge and energy into internal organization to obtain better performance level.We provide some sincere suggestions to decision-makers and CEOs of MNEs or those TMNEs consider entering into the China market. TMNEs should consider carefully not over-invested in China. MNE should focus on their cored investment fields with moderately middle-level diversification.

According to our findings,CI strategy is possibly a better way to gain scope advantages.The most important consideration for MNE decision makers is be careful in the context of change especially china government political policy which is highly changeable from governmental macro-economic adjustment policy. Furthermore,the inflow and outflow of finance not so flexible to operate will also limit the cash flow allocation efficiency to create better financialperformance.

See All Books


The website linkage


http://books.prettyfamous.com/l/10876241/Mne-Investment-Strategy-and-Risk-Evaluated-in-Chin-Yuang-Shiang-Chao

9783659106941










LAP LAMBERT Academic Publishing (2012-04-24 )

Amount : Price 79.00 €
  


MNE Investment Strategy and Risk Evaluated in China

-The Joint Effects of MNE's Diversification Strategy on Performance and Systematic Risk Evaluated in China Investment


Vdm_badgeeligible for voucher
ISBN-13:

978-3-659-10694-1

ISBN-10:
3659106941
EAN:
9783659106941
Book language:
English
Blurb/Shorttext:

In our findings, we link resource dependence theory to our findings to explain why China investment(CI) plays an important role in foreign diversification, especially in China. When TMNEs extend diversification activities, they can seek opportunities and new market through geographical diversification and can absorb new information and install different knowledge and energy into internal organization to obtain better performance level.We provide some sincere suggestions to decision-makers and CEOs of MNEs or those TMNEs consider entering into the China market. 


TMNEs should consider carefully not over-invessted in China.MNE should focus on their cored investment fields with moderately middle-level diversification.According to our findings,CI strategy is possibly a better way to gain scope advantages.The most important consideration for MNE decision makers is be careful in the context of change especially china government political policy which is highly changeable from governmental macro-economic adjustment policy. Furthermore,the inflow and outflow of finance not so flexible to operate will also limit the cash flow allocation efficiency to create better financial performance.

Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
180
Published on:
2012-04-24
Stock:
Available
Category:
Management
Price:
79.00 €
Keywords:
PerformanceMultinational Enterprises (MNEs)systematic riskDiversification Strategy
Joint EffectsChina-involved investment strategyFDI policy
Economic Cooperation Framework Agreement (ECFA)







































                                                                                                                                                        


The second book entitled


"What Government Bonds and Investors Matter in Global Financial Crisis? Evidence and Strategic Thinking"


Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/






http://books.prettyfamous.com/l/15855718/What-Government-Bonds-and-Investors-Matter-in-Global-Financial-Crisis-Yuang-Shiang-Chao

9783659224195












What Government Bonds and Investors Matter in Global Financial Crisis?

-Evidence and Strategic Thinking

LAP LAMBERT Academic Publishing (2012-08-22 )

Amount : Price 49.00 €
  
eligible for voucher
ISBN-13:
978-3-659-22419-5
Book language:



 

EAN: 9783659224
195


Blurb/Shorttext: English

This paper introduces a new finding on the composition of the investor base for government securities in the G20 advanced economies and the euro area.During the last decades, investors from abroad have increased their presence in government bond markets, whereas, the European debt(financial)crisis broke this trend.Furthermore,This paper attempts to address three of the myriad of questions that have arisen from the newly gained attention to the investor base.
1.Which investor groups hold what exposure to government securities? 
2.Is there a link between the investor base and bond pricing?
3.What changes will the current European financial crisis catalyze in thinking about economic development? 
On the mix of market and state in the economy,it reaffirms the value of not relying blindly on the strengths of either.The crisis showed again that both markets and EU governments/ECB can fail spectacularly,and that while markets must ultimately be the drivers of growth,good government is needed to create the conditions for markets to work well and to reduce volatility and vulnerability.Additionally the global crisis leads to provide new strategic thinking in practical policy especially in EU.



Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
98
Published on:
2012-08-22
Stock:
Available
Category:
International economy
Price:
49.00 €
Keywords:
Financial liberalizationInvestors, Global financial crisisGovernment BondsEuropean Debt

































































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Enterprises and scientists would be especially interested in these ideas; nevertheless, up to today, most of this work is shelved as a result of high costs.

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LAMBERT Academic Publishing cooperates with

  • Danubius University of Galati (Institute for Legal, Economic and Social Sciences)
  • Lumen Research Center in Social Humanistic Sciences
  • Andrei Saguna University
  • American International University – Bangladesh (AIUB)
  • Dimitrie Cantemir Christian University (Faculty of History)
  • INES-Ruhengeri
  • Uganda Christian University
  • Luki State Academy of Agriculture
  • Irish Bible Institute
  • Universitatea Athenaeum (Internal Auditing & Risk Management)
  • Prague College of Psychosocial Studies
  • Spiru Haret University
  • Academy of Performing Arts in Prague
  • Tai Solarin College of Education
  • Romanian-German University of Sibiu
  • Mihail Kogalniceanu University of Iasi
  • Himalayan College of Agricultural Sciences and Technology
  • Institute of Hospitality Management in Prague






本專書由德國LAP出版機構在 23-August-2012 ,全球89個國家,6,500多家出版商通路出版 (ISBN 978-3-659-22419-5)



                                                                                            
The third book entitled 
"Global Value Chains and Regional Economic Integration Development"

(Published on 05-September-2013)

本專書由德國LAP出版機構在 5-September-2013, 全球89個國家,6,500多家出版商通路商出版 (ISBN:978-3-659-45961-0)

https://www.morebooks.de/store/gb/book/global-value-chains-and-regional-economic-integration-development/isbn/978-3-659-45961-0


9783659459610

Global Value Chains and Regional Economic Integration Development

LAP LAMBERT Academic Publishing (2013-09-05 )

Price 32.90 €
Amount :  
Omni badgeeligible for voucher
ISBN-13:

978-3-659-45961-0

ISBN-10:
3659459615
EAN:
9783659459610
Book language:
English
Blurb/Shorttext:
This paper summarizes some crucial results as presented in aid for trade–An investment benefit road map from Asian countries. We focus on topics relating to regional cooperation and integration in the areas of infrastructure and software, trade and investment, money and finance, and regional public goods. In our findings, we link resource dependence theory and economic integration model to our findings to explain why China plays an important role in Asian countries, especially in south-eastern Asia. In addition, regional economic integration through logistics, information network and connectivity improvement can increase the virtual size and amount of an economy as trade with neighboring countries increases. This leads to substantial benefits from scale, network, coordination and agglomeration economies. According to our findings, GVCDs and regional integration has captured the imagination of South Asians but the debates on identifying appropriate and effective strategies for securing this objective continue on the better condition in developing beneficial integration economic effects and we find that China takes the best scores in Asian countries.
Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
84
Published on:
2013-09-05
Stock:
Available
Category:
International economy
Price:
32.90 €
Keywords:
Global value chainsRegional CooperationRegional economic integration development


Mapping methodology













貨幣理論與政策
貨幣理論與政策


本書適用對象適合於商科系或非商科系金融學程之學生,
教材內容以理論與實務並重方式編排;
用詞遣字嚴謹,簡潔易懂,力求理論生活化、觀念實用化、實務本土化;
本書編排架構依序為中央銀行制度、貨幣政策理論、貨幣政策操作、貨幣供給結構、金融體系與貨幣供給、
傳統貨幣數量說、凱恩斯貨幣需求理論、佛利德曼貨幣需求理論、貨幣需求理論驗證、利率決定理論、
利率差異論、匯率制度、匯率理論、國際收支失衡調整理論、IS與LM理論、AD與AS理論等章,
書中結構以較具創意思考的方式作安排,兼具激勵讀者向上的意志與決心,啟發人性的向上力量,
每章皆具有啟發性、實用性及價值性,從而提升教學與學習興趣效果。
貨幣理論與政策
  •                                                   http://www.m.sanmin.com.tw/product/index/000435797
貨幣理論與政策

貨幣理論與政策
貨幣理論與政策







點擊可以動大圖
  • 定  價:NT$600元
  • 可得紅利積點: 18 點
  • 參考庫存: 目前有庫存
  • 加入購物車    

★ 須知篇-買賣新手的基本配備
  .想圓什麼夢,就選什麼基金
  .投資共同基金的5大優點與應注意事項
  .善用經濟指標趨吉避凶
  .各類型基金簡介
  .基金開戶的手續及交易流程
  .投資基金的成本怎麼算?

★ 操作篇-聰明選對賺錢基金
  .評估基金績效4大指標
  .篩選賺錢基金的方便工具
  .選對進場時機和幣別,決定口袋的飽滿度
  .配息vs.不配息基金,哪個好
  .如何挑選要長期投資的基金

★ 知識篇-精準掌握行情,買低賣高
  .影響基金淨值的因素
  .基金經理人不傳的小技巧
  .共同基金的風險
  .霧裡看花-我的基金究竟是賺、還是賠
  .數大就是美-基金要買多少才划算
  .各類型基金的優缺點和投資建議

★ 海外篇-悠遊世界買基金
  .妾身未明-未核備海外基金比較賺
  .大中華基金長期看好
  .如何選擇會賺錢的大中華基金

本書特色

  ★一種讓巴菲特也稱道的懶人投資法;一種最安穩漂亮的獲利金律

  ★沒時間理財的人,仍然可以輕鬆運用的投資工具

  ★工欲善其事,必先利其器;第一本真正給你理財工具箱的超簡單理財工具書

  ★本書詳盡介紹指數股票型基金(ETF) 、不動產投資信託商品(REITs),足以改變投資界的革命性理財工具。

  ★想投資不動產,又沒有足夠資金的人,最適合選購REITs,滿足你當世界房東的夢想


「趙永祥」的圖片搜尋結果  

  • 我的第一支基金會賺錢

    中文書 , 張真卿、趙永祥 , 財經傳訊 ,出版日期:2010-01-28
    優惠價: 9 折,252元 試讀本

    、諾貝爾、敦煌及各大書局財經叢書銷售排行榜。 趙永祥 現任:育達商業科技大學財務金融系專任講師,國立台中技術學院空中進修學院兼任講師。 著作:《保險學理論與實務》、《貨幣理論與政策》、《1萬元投資通-基金、外匯與債券操作》、《前進股市搶錢...... more

  • 張真卿教你理財致富

    張真卿教你理財致富

    中文書 , 張真卿.趙永祥.林尚德 , 財經傳訊 ,出版日期:2005-05-11
    優惠價: 95 折,237元 試讀本

    搶錢的一本勝經》、《寫給股市散戶的一本勝經》分別榮登金石堂非文學類暢銷書。 〔趙永祥〕 國立雲林科技大學管理研究所(企管組)博士班,南華大學亞太研究所(經濟組)碩士,國立台中技術學院兼任講師,育達商業技術學院財務金融系講師。趙君曾在...... more

  • 前進股市搶錢的一本勝經:股票技術分析操作勝典修訂版

    前進股市搶錢的一本勝經:股票技術分析操作勝典修訂版

    中文書 , 張真卿、趙永祥 , 財經傳訊 ,出版日期:2004-12-22
    優惠價: 9 折,179元

    叢書銷售排行榜。最新力作《微薪完全手冊15天學會買賣共同基金》、《微薪致富》、《微利致富》、《15天學會外幣買賣》、《1萬元理財通》、《1萬元投資通》、▲寫給股市新手的一本勝經 ◎分別榮登金石堂非文學類暢銷書。 趙永祥 國立雲林科技大學...... more

  • 1萬元投資通: 基金.外幣.債券一本搞定

    1萬元投資通: 基金.外幣.債券一本搞定

    中文書 , 張真卿:趙永祥 , 台灣廣廈 ,出版日期:2004-08-18
    優惠價: 9 折,179元

    買賣共同基金》、《微薪致富》、《微利致富》分別榮登金石堂非文學類暢銷書。 趙永祥 國立雲林科技大學管理研究所(企管組)博士班,南華大學亞太研究所(經濟組)碩士,國立台中技術學院兼任講師,育達商業技術學院財務金融系講師。...... more

貨幣理論與政策

我的第一支基金會賺錢

  • 定價:280元
  • 優惠價:9252
  • 本商品單次購買10本8折224












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附件:
1. 105校務研究專題計畫通過名單.pdf
2. 108學年度校內專題研究計畫通過名單(1081104).pdf
3. 1萬元投資通.jpg
4. 2016 Elsevier 期刊名稱與刊登費.pdf
5. Author guides of World development journal.pdf
6. Author guides-Journal of Applied Economics.pdf
7. Author guides-Journal of Development Economics.pdf
8. Author guides-The North American Journal of Economics and Finance.pdf
9. Dr. Chao publication performance (0000-0002-2303-0988) in ORCID-Connecting Research and Researchers(20181116).pdf
10. Dr. Chao top contributor - Risk Transfer is often used in place of Risk Sharing.pdf
11. Dr. Chao Yuang Shiang (0000-0002-2303-0988) in ORCID profile in Connecting Research and Researchers (3-June-2018).pdf
12. Dr. Chao Yuang Shiang (0000-0002-2303-0988)-(1070604).pdf
13. Dr. Chao Yuang Shiang publications on Journal papers and Books (2017-August).docx
14. Dr. Yuang Shiang Chao profile in Amazon-Books and Biography (June-2018).pdf
15. Financial Risk Management - Theory and Practice.pdf
16. Financie English supplementary paper 06- Risk Management Lessons from the Credit Crisis - Dr. Chao.pdf
17. FRM enhanced - Risk Management overview.pdf
18. FRM textbook enhanced 04- ENTERPRISE RISK MANAGEMENT- A Framework for Success.pdf
19. HRPUB publishing - Reviewers in Advances in Economics and Business.pdf
20. IJBS Contents-2016-March.pdf
21. Journal papers Publication.pdf
22. MNE investment and risk management in China-ISBN 978-3-330-82095-1 Coverpreview-20170110.pdf
23. MNE Investment Strategy and Risk Evaluated in China Book cover (ISBN-9783659106941).jpg
24. Publication Performance from2013-2014-趙永祥.pdf
25. Resume of Edward Chao(18-Sep.-2015).pdf
26. Romanian Journal of Economic Forecasting 2018年Vol.21 論文刊登目錄(20181005).pdf
27. Y107000424「補助教師校內專題研究計畫」.docx
28. 中英文圖書出版與學術研究成果(ORCID-20180610).pdf
29. 佐證01-華人經濟研究14卷1期封面頁.pdf
30. 佐證02-華人經濟研究第14卷第1期目錄.pdf
31. 佐證文件01-華人經濟研究14卷2期封面頁.pdf
32. 佐證文件02-華人經濟研究14卷2期目錄.pdf
33. 保險學教科書-林顯達 劉美芳 黃新宗 趙永祥 - 三民網路書店.pdf
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38. 個人理財規劃彩色封面-中國版本圖書館-2017年2月吉林大學出版社.jpg
39. 國家圖書館期刊論文檢索-期刊論文研究成果-南華財金系趙永祥-1060407.txt
40. 國際貿易理論與實務教科書.jpg
41. 國際貿易理論與實務教科書版權頁.jpg
42. 國際貿易理論與政策教科書封面與版權頁.pdf
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44. 壽險管理年報-金融科技創新對保險業未來發展之研究論文出版-2017.04 出版.pdf
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46. 大學教科書-保險實務案例與解析02.jpg
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48. 大學教科書-國際貿易理論與實務02.jpg
49. 大學教科書-理財規劃理論與實務.jpg
50. 大學教科書-貨幣理論與政策.jpg
51. 大陸圖書出版-個人理財規劃-中國版本圖書館-2017年2月吉林圖書出版社.jpg
52. 學術研究成果-Academic research performance and teaching course (2012-2016).pdf
53. 學術研究成果-中西文著作專書.pdf
54. 學術研究成果-期刊論文發表一覽表ENDNOTE-20151228
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56. 我的第一支基金會賺錢-超簡單圖解理財工具書-張真卿+趙永祥-三民網路書店.pdf
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68. 研討會論文摘要投稿-2017財務金融與管理研討會(2017FMC)-趙永祥 李順彬.pdf
69. 研討會論文摘要投稿-2017財務金融與管理研討會(2017FMC)-趙永祥 陳奕臻.pdf
70. 研討會論文摘要投稿-2017財務金融與管理研討會(2017FMC)-趙永祥 陳銀深.pdf
71. 第四本西文專書出版封面-MNE Investment and Risk Management in China.pdf
72. 英文財經專書1-1.jpg
73. 英文財經專書1-2.jpg
74. 英文財經專書1-3.jpg
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76. 英文財經專書2-1.jpg
77. 英文財經專書2-2.jpg
78. 英文財經專書2-3.jpg
79. 英文財經專書3-1.jpg
80. 英文財經專書3-2.jpg
81. 英文財經專書3-3.jpg
82. 華人經濟研究2016年度下載分析報告(201601-201612).pdf
83. 西文專書出版封面-MNE Investment and Risk Management in China.pdf
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92. 財經西文專書3-3.jpg
93. 財經西文專書3-4.jpg
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95. 貨幣理論與政策教科書-趙永祥+余惠芳+梁榮輝+劉金華-三民網路書店.pdf
96. 趙永祥 博士近四年學術研究成果(2013-2016).pdf
97. 趙永祥博士學術研究成果-財務金融學系暨財務管理研究所(1071116).pdf
98. 趙永祥學術研究成果(2011_2016).pdf
99. 近五年學術研究成果 (2013-2018).pdf
100. 近五年學術研究成果 (2015-2020)-2020.12.05更新.doc
101. 近五年學術研究成果 (2015-2020)-2020.12.05更新.pdf
102. 附件一 102-104學年度專任教師發表於期刊之著作表列-財金系趙永祥.pdf
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by 趙永祥 2016-05-31 07:01:38, 回應(0), 人氣(1713)


                Dr. Yuang Shiang Chao Resume





Yuang Shiang Chao
Dr. Chao Yuang Shiang academic website 

Teaching experiences (1999/8/1 ~ Now)

Faculty (Full-time), Department of Finance, full-time lecturer, assistant professor (2011/8~Now), Yu Da University (1999/8/1 to 2013/7/31) 

Faculty (Part-time), Department of International Trade, National Taichung University of Science and Technology (2005/2/1 to 2006/7/31) 

Faculty (Part-time), National Taichung University of Science and Technology in Junior College of Continuing Education (2002/8/1 to 2005/1/31) 

Faculty (Part-time), Accounting and Information Systems, Chang Jung Christian University (CJCU) (2000/2/1 to 2002/7/31) 

Current Occupation: 
Full-time faculty, Assistant Professor, Department of Finance and Institute of Financial Management, College of management, Nan Hua University (2013/8/1 ~ Now)

Brief introduction:
I'm a college teacher who teaches for more than 17 years in university. I enjoy myself in doing research and teaching in my academic life. I have taught for over fourteen years in Yu Da University since 1999. I have the honor to teach in Nan Hua university since August, 2013. Most of my students work in financial institutions, insurance companies and stock markets. In the meanwhile, I also acted as a financial/strategic consultant in three medium-sized enterprises since March, 2009. I expect that there are two main academic directions to do subsequent research in the future. 

First of all, hoping to revisit and reevaluate the applicability of existing research to connect theories in light of the changing conditions of global business that might have invalidated their boundary conditions and assumptions. Secondly, I hope to generate novel theoretical ideas and empirical integrated model that better reflect the dynamics of a post-crisis world and provide relevant and timely knowledge to global managers and companies as well as to policy makers, governments, and all other participants in the global economy. 


Main Research Field
Dr. Chao's current main research is focused in five main fields,
1.International Diversification and FDI Investment Policy
2.MNE FDI Strategy and Global Strategy
3.Evaluating MNE Investment Strategy and Performance in Emerging Economy
4.International Finance and Investment Policy 
5.FDI Investment Risk Management

********************************************************
Textbooks published as follows.

Three finance-related books published from 2012 to 2014.

1. "MNE investment strategy and risk evaluated in China" 
- The Joint Effects of MNE's Diversification Strategy on Performance and Systematic Risk Evaluated in China Investment (Published on 27-April-2012)

2. "What Government Bonds and Investors Matter in Global Financial Crisis? - Evidence and Strategic Thinking" (Published on 23-August-2012)

3. "Global Value Chains and Regional Economic Integration Development" (Published on 05-September-2013)

https://www.morebooks.de/search/%20gb?page=2&q=+Yuang+Shiang+Chao+&search_term=+Yuang+Shiang+Chao+&via_keyword=1

Lambert Academic Publishing is an imprint of OmniScriptum

Annually, more than 5,000,000 theses are written worldwide in the research industry. In addition to this are the numerous research notes, articles, and the many creative concepts of professors, universities and institutions.

Enterprises and scientists would be especially interested in these ideas; nevertheless, up to today, most of this work is shelved as a result of high costs.

LAP specializes in the publication of such works and uses commitment and the latest technology in order to make the invaluable work of such researchers available worldwide, quickly and efficiently.


Affiliations

We are an associate member of the American Booksellers Association, the Booksellers Association in the UK and a member of the Börsenverein des Deutschen Buchhandels, the german booksellers association.


 Börsenverein des Deutschen Buchhandels
www.boersenverein.de


 American Booksellers Association
www.bookweb.org


 Booksellers Association
www.booksellers.org.uk


Books for Africa

Agape Foundation


LAMBERT Academic Publishing cooperates with

  • Danubius University of Galati (Institute for Legal, Economic and Social Sciences)
  • Lumen Research Center in Social Humanistic Sciences
  • Andrei Saguna University
  • American International University – Bangladesh (AIUB)
  • Dimitrie Cantemir Christian University (Faculty of History)
  • INES-Ruhengeri
  • Uganda Christian University
  • Luki State Academy of Agriculture
  • Irish Bible Institute
  • Universitatea Athenaeum (Internal Auditing & Risk Management)
  • Prague College of Psychosocial Studies
  • Spiru Haret University
  • Academy of Performing Arts in Prague
  • Tai Solarin College of Education
  • Romanian-German University of Sibiu
  • Mihail Kogalniceanu University of Iasi
  • Himalayan College of Agricultural Sciences and Technology
  • Institute of Hospitality Management in Prague

*********************************************

Consultant and advisor in governmental institution and private company 

1. Financial consultant, Yoau Jude construction company 

2. Consultant in business management and marketing strategy,Green Deming environmental technological company 

3. Consultant in education and training Joy town Investment Company 

4. Counseling consultant in preparatory OTC market, Yunhong environmental company 

5. Counseling consultant, the Council of Labor Affairs, Executive Yuan, R.O.C. (validity: 2012/2/22-2012/12/31) 

6. Counseling consultant in creating business and career development, The National Youth Commission (NYC), Executive Yuan, R.O.C. (validity: 2012/6/1-2013/5/31). 

7. Counseling consultant, Small and Medium Enterprise Administration, Ministry of Economic Affairs, Executive Yuan, R.O.C. (validity: 2014/4/1- 2015/3/31). 

8. Counseling consultant ,the Bureau of Employment and Vocational Training (BEVT) ,Council of Labor Affairs , Executive Yuan, R.O.C. (validity: 2012/3/1-2013/12/31). 


International license:Senior Advising consultant, U.K. certificate(Distinct level)
License No. : NI090038158405

*******************************************************************
The website of Author as follows.

http://mail.nhu.edu.tw/~yschao/English/

http://mail.nhu.edu.tw/~yschao/

http://isites.nhu.edu.tw/yschao/

http://isites.nhu.edu.tw/yschao/doc/836

https://www.linkedin.com/profile/public-profile-settings?trk=prof-edit-edit-public_profile
http://www.amazon.com/Yuang-Shiang-Chao/e/B00IV30N1E



Author Updates


Books by Yuang Shiang Chao
by 趙永祥 2016-03-13 07:30:40, 回應(1), 人氣(1728)

香蕉含胺基酸會轉化成血清促進素,令人鬆馳、提升情緒

研究顯示,兩條香蕉,可以提供足夠能量維持90分鐘劇烈的運動。但是,香蕉不單只提供能量。還可以幫我們克服或治療好多病症和身體狀況,所以我們必需把香蕉加進每天的餐單。

1、抑鬱症:患抑鬱症的人,在吃過香蕉後,感覺好好多。因為香蕉含胺基酸,會轉化成血清促進素,令人鬆馳、提升情緒。

2、貧血:香蕉鐵質含量高,能刺激血液內的血色素。

3、血壓高:香蕉含極高量的鉀,但鹽份低,最理想是降血壓。最近,美國食品及藥物管理局宣布,允許香蕉業宣傳:香蕉能降低血壓高和中風機會。

4、腦力:在英國Twickenha就有200名學生,為了要提升腦力,幫助考試,在學期開始,於早餐、小休和午飯,都吃適量香蕉。研究顯示,含豐富鉀質的香蕉,能提高學生的專注力,對他們讀書有所幫助。

5、便秘:香蕉的纖維質很高,可幫助回復腸胃正常活動,消除便秘,無需服用輕瀉劑。

6、宿醉:香蕉奶色加蜜糖可以實時解酒。香蕉鬆馳胃部,蜜糖提升血糖水平,抒緩精神和製做炭水化合物。

by 趙永祥 2015-11-09 06:49:36, 回應(0), 人氣(858)

學術研討會研究成果


行銷與流通管理系所議論文 [6]

企業管理系所會議論文 [2]

休閒運動管理系會議論文 [1]

財務金融系 [8]
會議論文 [5]
期刊論文 [3]

育達科大學報第30期(2012.03) [1]

育達研究叢刊第三期(2002.03) [1]




育達學院學報 [1]
第十四期(2007.11) [1]
by 趙永祥 2014-10-16 23:08:35, 回應(0), 人氣(1074)


Publication Performance (2007-2014)

(期刊論文暨專業著作研究成果)

篇名:熱錢效應對中國金融體系發展之分析

刊名:全球管理與經濟

卷期: 102

出版年月:201412

篇名:後全球金融危機中國大陸房市是否有泡沫化危機?

刊名:華人經濟研究

卷期:121

出版年月:201403

頁次:169-187

篇名:國際化程度與多角化策略對電子公司營運績效與公司價值影響之研究

作者:趙永祥

刊名:全球管理與經濟

卷期:92

出版年月:201312

頁次:36-61

篇名:政策制度與投資區位策略對大陸臺商投資之影響

作者:趙永祥

刊名:全球管理與經濟

卷期:91

出版年月:201306

頁次:26-53

篇名:區位選擇與制度模式對大陸臺商投資績效影響之研究作者:趙永祥刊名:東亞論壇卷期:478期出版年月:201212頁次:頁1-20篇名:投資大陸區位選擇與制度環境模式對臺商投資影響之研究--兼論臺商經營困境與因應之道作者:趙永祥刊名:全球管理與經濟卷期:8卷2期出版年月:201212頁次:頁98-132篇名:中國大陸投資進入模式與績效關聯性之研究作者:趙永祥;李在僑;潘啟華刊名:華人經濟研究卷期:10卷2期出版年月:201209頁次:頁43-57篇名:醫務核保之風險管理研究作者:趙永祥;呂廣盛刊名:壽險管理卷期:25期出版年月:201203頁次:頁157-171篇名:歐債危機對全球經濟與金融發展之影響作者:趙永祥刊名:東亞論壇卷期:475期出版年月:201203頁次:頁29-47篇名:綜合零售業市場競爭策略之分析作者:趙永祥刊名:華人經濟研究卷期:10卷1期出版年月:201203頁次:頁1-27篇名:現金減資宣告效果探討--以事件研究法為例作者:李在僑;趙永祥刊名:育達科大學報卷期:30期出版年月:201203頁次:頁103-131篇名:後金融危機大陸銀行業面臨之挑戰與因應策略作者:趙永祥刊名:全球管理與經濟卷期:7卷2期出版年月:201112頁次:頁109-128篇名:國際化深度對企業財務績效與公司價值影響之研究作者:趙永祥;潘啟華刊名:東亞論壇卷期:473期出版年月:201109頁次:頁49-71篇名:後ECFA時代兩岸產業發展趨勢之探討作者:趙永祥;邱素津;張清德刊名:全球管理與經濟卷期:7卷1期出版年月:201106頁次:頁32-52篇名:中國十二五計劃與ECFA對兩岸經貿與臺商未來發展之影響作者:趙永祥刊名:東亞論壇卷期:472期出版年月:201106頁次:頁23-54篇名:吸引跨國企業在大陸投資策略與影響之分析作者:趙永祥;曾銘深;邱素津刊名:華人經濟研究卷期:9卷1期出版年月:201103頁次:頁35-49篇名:熱錢對中國金融市場發展影響之探討作者:趙永祥刊名:東亞論壇卷期:470期出版年月:201012頁次:頁33-48篇名:兩岸經濟競合與挑戰之分析作者:趙永祥刊名:華人前瞻研究卷期:6卷2期出版年月:201011頁次:頁115-140篇名:後ECFA兩岸經貿與金融發展趨勢之分析作者:趙永祥刊名:全球管理與經濟卷期:6卷1期出版年月:201006頁次:頁42-69篇名:資訊透明化對公司財務決策與經營績效影響效果之研究--以臺灣上市公司為例作者:趙永祥;呂廣盛刊名:中華管理發展評論卷期:1卷1期出版年月:200908頁次:頁85-117篇名:企業國際化程度與多角化策略對營運績效影響之研究--以臺灣上市電子公司為例作者:趙永祥刊名:育達商管學報卷期:4期出版年月:200907頁次:頁151-174篇名:美國次級房貸事件對全球經濟與金融體系發展之衝擊與影響作者:趙永祥刊名:東亞論壇卷期:461期出版年月:200809頁次:頁1-27篇名:美國次級房貸風暴對兩岸經濟與金融衝擊之探討作者:趙永祥刊名:東亞論壇卷期:460期出版年月:200806頁次:頁17-35篇名:國際化程度與產品多角化策略對公司價值與財務績效影響之研究-以臺灣電子業上市公司為例作者:趙永祥刊名:育達學院學報卷期:14期出版年月:200711頁次:頁17-42篇名:銀行業顧客關係管理系統與經營策略關聯性之研究作者:陳旭播;趙永祥刊名:臺灣經濟金融月刊卷期:43卷9期總號512出版年月:200712頁次:頁35-56
篇名:國際化程度與產品多角化策略對公司價值與財務績效影響之研究-以臺灣電子業上市公司為例作者:趙永祥刊名:育達學院學報卷期:14期出版年月:200711頁次:頁17-42
篇名:2008北京奧運對大陸宏觀經濟發展影響之分析作者:趙永祥刊名:東亞論壇卷期:457期出版年月:200709頁次:頁25-43
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學術研究成果

Summary
自2001年初至今,共發表學術研討會論文64篇,本國期刊論文62篇,國際期刊論文12篇,西文專書三本(Published in LAP國際出版機構,Germany),大學教科書計出版五本;政府委託案一件(2005年行政院青輔會提升大專校院在學生就業競爭力計畫); 產學合作案七件


專業著作

University textbooks publication

1. <Monetary Theory and Policy> Published in 2004

2. <Principles of Insurance> Published in 2005

3. <Financial Planning Theory and PracticePublished in 2011

4. <International Trade Theory and PracticePublished in 2012

5. <Insurance Practice and Case-study AnalysisPublished in 2013


西文專著(財經類)共計出版三本:
 
近三年陸續出版三本探討<中國投資風險與策略>、<政府債券在金融危機角色>與<全球供應鍊與區域經濟發展>有關國際財經議題的西文專書,三本西文專書,目前已經由德國LAP國際出版機構在全球68個國家,6500多家出版商通路出版。


Three finance-related books published from 2012 to 2014.

1. "MNE investment strategy and risk evaluated in China"  

- The Joint Effects of MNE's Diversification Strategy on Performance and      

  Systematic Risk Evaluated in China Investment (Published on 27-April-2012)



2. "What Government Bonds and Investors Matter in Global Financial Crisis? -Evidence and Strategic Thinking" (Published on 23-August-2012)


3. "Global Value Chains and Regional Economic Integration Development"
   (Published on 05-September-2013)



Introduction about these three books

The first book entitled 
"MNE investment strategy and risk evaluated in China"

本專書由德國LAP出版機構在27-April-2012, 全球89個國家,6,500多家出版商通路出版, 
ISBN : 978-3-659-10694-1;Publishing house: LAP LAMBERT Academic Publishing


Website:https://www.lap-publishing.com/


9783659106941








LAP LAMBERT Academic Publishing (2012-04-24 )

Amount : Price 79.00 €
  

MNE Investment Strategy and Risk Evaluated in China

-The Joint Effects of MNE's Diversification Strategy on Performance and Systematic Risk Evaluated in China Investment


Vdm_badgeeligible for voucher
ISBN-13:

978-3-659-10694-1

ISBN-10:
3659106941
EAN:
9783659106941
Book language:
English
Blurb/Shorttext:

In our findings, we link resource dependence theory to our findings to explain why China investment(CI) plays an important role in foreign diversification, especially in China. When TMNEs extend diversification activities, they can seek opportunities and new market through geographical diversification and can absorb new information and install different knowledge and energy into internal organization to obtain better performance level.We provide some sincere suggestions to decision-makers and CEOs of MNEs or those TMNEs consider entering into the China market. 
TMNEs should consider carefully not over-invested in China. TMNEs should focus on their cored investment fields with moderately middle-level diversification.According to our findings,CI strategy is possibly a better way to gain scope advantages.The most important consideration for MNE decision makers is be careful in the context of change especially china government political policy which is highly changeable from governmental macro-economic adjustment policy. Furthermore,the inflow and outflow of finance not so flexible to operate will also limit the cash flow allocation efficiency to create better financial performance.
Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
180
Published on:
2012-04-24
Stock:
Available
Category:
Management
Price:
79.00 €
Keywords:
PerformanceMultinational Enterprises (MNEs), Systematic riskDiversification StrategyJoint EffectsChina-involved investment strategyFDI policyEconomic Cooperation Framework Agreement (ECFA)







































                                                                                                                                                             


The second book entitled

"What Government Bonds and Investors Matter in Global Financial Crisis? Evidence and Strategic Thinking"


Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/



9783659224195

What Government Bonds and Investors Matter in Global Financial Crisis?

-Evidence and Strategic Thinking

LAP LAMBERT Academic Publishing (2012-08-22 )

Amount : Price 49.00 €
  
eligible for voucher
ISBN-13:
978-3-659-22419-5
Book language:
 

EAN: 9783659224195

Blurb/Shorttext:

This paper introduces a new finding on the composition of the investor base for government securities in the G20 advanced economies and the euro area.During the last decades, investors from abroad have increased their presence in government bond markets, whereas, the European debt(financial)crisis broke this trend.Furthermore,This paper attempts to address three of the myriad of questions that have arisen from the newly gained attention to the investor base.
1.Which investor groups hold what exposure to government securities? 
2.Is there a link between the investor base and bond pricing?
3.What changes will the current European financial crisis catalyze in thinking about economic development? 
On the mix of market and state in the economy,it reaffirms the value of not relying blindly on the strengths of either.The crisis showed again that both markets and EU governments/ECB can fail spectacularly,and that while markets must ultimately be the drivers of growth,good government is needed to create the conditions for markets to work well and to reduce volatility and vulnerability.Additionally the global crisis leads to provide new strategic thinking in practical policy especially in EU.



Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
98
Published on:
2012-08-22
Stock:
Available
Category:
International economy
Price:
49.00 €
Keywords:
Financial liberalizationInvestors, Global financial crisisGovernment BondsEuropean Debt




English




































本專書由德國LAP出版機構在 23-August-2012 ,全球89個國家,6,500多家出版商通路出版 (ISBN 978-3-659-22419-5)

                                                                                                                         

The third book entitled 
"Global Value Chains and Regional Economic Integration Development"

Publishing house: LAP LAMBERT Academic Publishing



本專書由德國LAP出版機構在 5-September-2013, 全球89個國家,6,500多家出版商通路商出版 (ISBN:978-3-659-45961-0)


9783659459610

Global Value Chains and Regional Economic Integration Development

LAP LAMBERT Academic Publishing (2013-09-05 )

Amount : Price 32.90 €
  
eligible for voucher
ISBN:978-3-659-45961-0
Book language: English
Blurb/Shorttext:





This paper summarizes some crucial results as presented in aid for trade–An investment benefit road map from Asian countries. We focus on topics relating to regional cooperation and integration in the areas of infrastructure and software, trade and investment, money and finance, and regional public goods. In our findings, we link resource dependence theory and economic integration model to our findings to explain why China plays an important role in Asian countries, especially in south-eastern Asia. In addition, regional economic integration through logistics, information network and connectivity improvement can increase the virtual size and amount of an economy as trade with neighboring countries increases. This leads to substantial benefits from scale, network, coordination and agglomeration economies. 


According to our findings, GVCDs and regional integration has captured the imagination of South Asians but the debates on identifying appropriate and effective strategies for securing this objective continue on the better condition in developing beneficial integration economic effects and we find that China takes the best scores in Asian countries.
Publishing house:
LAP LAMBERT Academic Publishing
Website:
https://www.lap-publishing.com/
By (author) :
Yuang Shiang Chao
Number of pages:
89
Published on:
2013-09-05
Stock:
Available
Category:
International economy
Price:
32.90 €
Keywords:
Global value chainsRegional CooperationRegional economic integration developmentMapping methodology









































page=2&q=+Yuang+Shiang+Chao+&search_term=+Yuang+Shiang+Chao+&via_keyword=1





Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/



                                                                                                                                                                      
Dr. Chao Yuang Shiang, 
Position:Assistant Professor, Dep. of Finance and Institute of financial management, College of Management, Nan Hua University, Taiwan, R.O.C. 

Education Degree : 
PH.D in Management, National Yunlin University of  Science and Technology, Taiwan, ROC. 

I'm a college teacher who teaches in Dep. of finance for more than 16 years in university. I enjoy myself in doing research and teaching in my academic life. I have taught for over thirteen years in Yu Da University since 1999. Most of my students work in financial institutions,insurance compaies and stock markets. In the meanwhile, I also acted as a financial/strategic consultant in several medium-sized enterprises since March, 2006. I expect that there are two main academic directions to do subsequent research in the future. First of all, hoping to revisit and reevaluate the applicability of existing research to connect theories in light of the changing conditions of global business that might have invalidated their boundary conditions and assumptions. Secondly, I hope to generate novel theoretical ideas and empirical integrated model that better reflect the dynamics of a post-crisis world and provide relevant and timely knowledge to global managers and companies as well as to policy makers, governments, and all other participants in the global economy. 

During these sixteen years, main research field is mainly focused in the following six main fields, 

1. International Diversification and FDI Investment Policy;
2. MNE FDI Strategy and Global Strategy;
3. Evaluating MNE Investment Strategy and Performance in Emerging Economy;
4. International Finance and Investment Policy;
5. FDI Investment Risk Management;
6. Marketing Strategy. 

Up to now, there're more than eighty academic articles published in international journals and local journals. There're fourteen professional books including finance-related and international business-related books have been published since May,2002. Three professional investment-oriented books are entitled as follows.

The first book entitled "MNE Investment Strategy and Risk Evaluated in China" has been published on April, 2012(ISBN:978-3-659-10694-1).


Headlights in this book

The crucial findings In this book, we link resource dependence theory to our findings to explain why China investment(CI) plays an important role in foreign diversification, especially in China. When TMNEs extend diversification activities, they can seek opportunities and new market through geographical diversification and can absorb new information and install different knowledge and energy into internal organization to obtain better performance level.We provide some sincere suggestions to decision makers and CEOs  of  MNEs or those TMNEs consider entering into the China market.


TMNEs should consider carefully not over-invested in China.MNE should focus on their cored investment fields with moderately middle-level diversification.According to our findings,CI strategy is possibly a better way to gain scope advantages. The most important consideration for MNE decision makers is be careful in the context of change especially china government political policy which is highly changeable from governmental macro-conomic adjustment policy. Furthermore,the inflow and outflow of finance not so flexible to operate will also limit the cash flow allocation efficiency to create better financial performance.


Publishing house: LAP LAMBERT Academic Publishing

Website:

https://www.lap-publishing.com/

https://www.morebooks.de/store/gb/book/mne-investment-strategy-and-risk-evaluated-in-china/isbn/978-3-659-10694-1


By author :Yuang Shiang Chao
Number of pages: 180
Published on: 2012-04-24
Stock: In stock
Category: Management
Price: 76.00 €

***********************************************************************************
The second book entitled "What Government Bonds and Investors Matter in Global Financial Crisis? Evidence and Strategic Thinking"(ISBN:978-3-659-22419-5) has been published by LAP LAMBERT Academic Publishing GmbH & Co. KG(in Germany) on 23-August-2012); 

Headlights in this book (本書簡介)

LAP LAMBERT Academic Publishing (2012-08-23)
Price 49.00 €
Amount: Add to cart

ISBN-13:978-3-659-22419-5
ISBN-10:3659224197
EAN: 9783659224195
Book language: English

Blurb/Short text: 

This paper introduces a new finding on the composition of the investor base for government securities in the G20 advanced economies and the euro area.During the last decades, investors from abroad have increased their presence in government bond markets, whereas, the European debt(financial) crisis broke this trend.Furthermore,This paper attempts to address three of the myriad of questions that
have arisen from the newly gained attention to the investor base.

1.Which investor groups hold what exposure to government securities?


2.Is there a link between the investor base and bond pricing?


3.What changes will the current European financial crisis catalyze in thinking about economic development?


On the mix of market and state in the economy,it reaffirms the value of not relying blindly on the strengths of either.The crisis showed again that both markets and EU governments/ECB can fail spectacularly,and that while markets must ultimately be the drivers of growth,good government is needed to create the conditions for markets to work well and to reduce volatility and vulnerability.Additionally the global crisis leads to provide new strategic thinking in practical policy especially in EU.

Publishing house: LAP LAMBERT Academic Publishing

By (author) :Yuang Shiang Chao

Number of pages: 86
Published on: 2012-08-23
Stock: In stock
Category: International economy
Price: 49.00 €
Keywords: financial liberalization, Investors, global financial crisis, Government Bonds, European Debt


Website:

https://www.lap-publishing.com/

https://www.morebooks.de/store/gb/book/what-government-bonds-and-investors-matter-in-global-financial-crisis/isbn/978-3-659-22419-5



***********************************************************************************
The third book entitled "Global Value Chains and Regional Economic Integration Development" 
has been published by LAP LAMBERT Academic Publishing GmbH & Co. KG(in Germany) on 5-September-2013); 
by LAP LAMBERT Academic Publishing (Published date: 2013-09-05)
Headlights in this book

ISBN:
978-3-659-45961-0
Book language:English
Blurb/Short text: 
This paper summarizes some crucial results as

We focus on topics relating to regional cooperation and integration in the areas of infrastructure and software, trade and investment, money and finance, and regional public goods. In our findings, we link resource dependence theory and economic integration model to our findings to explain why China plays an important role in Asian countries, especially in south-eastern Asia.  In addition,regional economic integration through logistics,information network and connectivity improvement can increase the virtual size and amount of an economy as trade with neighboring countries increases. This leads to substantial benefits from scale, network, coordination and agglomeration economies. According to our findings, GVCDs and regional integration has captured the imagination of South Asians but the debates on identifying appropriate and effective strategies for securing this objective continue on the better condition in developing beneficial integration economic effects, in addition, we find that China takes the best scores in economic cooperation-and-integration dvelopment in Asian countries.


Publishing house: LAP LAMBERT Academic Publishing

Website: https://www.lap-publishing.com/

By (author) : Yuang Shiang Chao

Number of pages: 92

Published on: 2013-09-05

Stock:Available

Category: International economy

Price:32.90 €
Keywords: Global value chainsRegional CooperationRegional economic integration development,Mapping methodology


The third book entitled "Global Value Chains and Regional Economic Integration Development " has been published on 5-September, 2013.

Cover preview website: 


htpps://www.lap-publishing.com//system/covergenerator/build/91517

https://www.morebooks.de/store/gb/book/global-value-chains-and-regional-economic-integration-development/isbn/978-3-659-45961-0


Website linkage 

https://www.morebooks.de/search/%20gb?page=2&q=+Yuang+Shiang+Chao+&search_term=+Yuang+Shiang+Chao+&via_keyword=1

LAP is one of the leading publishing houses of academic research in the world. (http://www.lap-publishing.com/

Up to now, there're totally thirteen textbooks published including six professional financial publications.five local textbooks and three foreign textbooks concerning with international-finance-related had been published since 2002. I expect to write more good quality papers published in SSCI/SCI high impact factor journals in the coming future. I still make the best of time to move forward and contribute my research to academic community in academic field. 

Dr. Chao Yuang Shiang
E-mail: ed5097@gmail.com