Search Results - "Wu, Feng (Harry)"
-
1
Firm climate risk, risk management, and bank loan financing
Published in Strategic management journal (01-12-2022)“…Research Summary We estimate firm‐level physical risk from climate change based on managerial evaluation and firms' exposure to climate hazard events and find…”
Get full text
Journal Article -
2
Conditional extreme risk, black swan hedging, and asset prices
Published in Journal of empirical finance (01-09-2020)“…Motivated by the asset pricing theory with safety-first preference, we introduce and operationalize a conditional extreme risk (CER) measure to describe…”
Get full text
Journal Article -
3
LIBOR Discontinuation and the Cost of Bank Loans
Published in Management science (12-09-2024)“…With the London Interbank Offered Rate (LIBOR) being replaced by risk-free rate (RFR)-based alternative reference rates, the fundamental differences between…”
Get full text
Journal Article -
4
IFRS 7 adoption and bank risk taking
Published in Journal of accounting and public policy (01-07-2024)“…We examine whether and how banks’ risk disclosure relates to their risk taking behavior. Effective from 2007, International Financial Reporting Standards No. 7…”
Get full text
Journal Article -
5
Is language priced? evidence from bank loan contracting
Published in Asia-Pacific journal of accounting & economics (04-05-2023)“…Previous studies document that firms in countries speaking languages with strong future time reference (FTR), which more sharply dissociates the future from…”
Get full text
Journal Article -
6
Debt enforcement and bank loans: evidence from insolvency practices worldwide
Published in Asia-Pacific journal of accounting & economics (02-01-2021)“…Using a novel debt enforcement index reflecting legal and economic characteristics directly relating to resolving insolvency across the world, we document that…”
Get full text
Journal Article