Ho-Mou WU 巫和懋

Curriculum Vita (简历)

OPINIONS

  1. 巫和懋:如何把握平台经济“常态化监管”的重点?,中新经纬,2022年8月16日。
  2. 巫和懋:互联网公司“垄断”特性如何影响经济活动,中新经纬,2022年6月9日。
  3. 建设创新强国:怎么看、怎么办,经济观察报,2022年3月17日。
  4. 中国债券市场应该如何推动国际化?中欧知识,2020年11月20日。
  5. 从信用债违约事件看中国债券市场改革,经济观察报,2020年11月21日。
  6. “EMBA/FMBA/HEMBA毕业典礼 巫教授祝贺中欧同学毕业” , 2019年11月23日。
  7. “中国企业对外直接投资应该如何融资?”,中欧知识,2019年1月28日。
  8. “美国回购市场的改革与对中国的启示”,中欧知识,2019年1月11日。
  9. “解析回购市场在金融危机中的作用”,中欧知识,2019年1月4日。
  10. “学术与人生”,2015年8月31日。
  11. “美丽心灵的离去——纪念纳什”,2015年6月4日。
  12. “断掉“干预之手”下一步就要“设计市场””,2013年3月27日。
  13. “台发展人民币业务可借鉴香港经验”,2012年9月10日。
  14. “银行悄然松绑地方平台贷 要稳增长也要控风险”,2012年8月6日。
  15. “经济学者之路”,2011年12月16日。
  16. “后危机时代应注重人力素质的提高”,2010年10月25日。


PAPERS (IN CHINESE)

  1. 巫和懋,李欣.金融危机与批发融资市场:美国的金融改革与对中国的启示[J].新金融评论,2018(05):151-171.
  2. 郭桂霞,赵岳,巫和懋.我国“走出去”企业的最优融资模式选择——基于信息经济学的视角[J].金融研究,2016(08):111-126.
  3. 刘航,巫和懋.或有资本、资产抛售与银行信用风险[J].浙江社会科学,2016(03):18-27+17+156.
  4. 巫和懋,冯仕亮.人力资本投资与跨越“中等收入陷阱”[J].当代财经,2014(08):5-14.
  5. 郭桂霞,巫和懋,魏旭,王勇.银行资产证券化的风险自留监管:作用机制和福利效果[J].经济学(季刊),2014,13(03):887-916.
  6. 孙永强,巫和懋,戴金平.资本市场开放对我国货币政策有效性的影响[J].经济学家,2013(04):73-81.
  7. 邵新建,巫和懋,江萍,薛熠,王勇.中国城市房价的“坚硬泡沫”——基于垄断性土地市场的研究[J].金融研究,2012(12):67-81.
  8. 王则柯,巫和懋.沙普利、罗斯:2012获得诺贝尔经济学奖获得者[J].中国中小企业,2012(12):40-43.
  9. 孙永强,巫和懋.当前转变经济发展方式的形势与对策[J].高校理论战线,2012(09):21-24.
  10. 孙永强,巫和懋.出口结构、城市化与城乡居民收入差距[J].世界经济,2012,35(09):105-120.
  11. 邵新建,巫和懋,肖立晟,杨骏,薛熠.中国企业跨国并购的战略目标与经营绩效:基于A股市场的评价[J].世界经济,2012,35(05):81-105.
  12. 巫和懋.巫和懋:经济学者之路[J].上海经济,2012(Z1):14-16.
  13. 郭桂霞,巫和懋.公司治理与中小企业融资方式[J].经济学(季刊),2012,11(01):135-154.
  14. 中国IPO上市首日的超高换手率之谜[J].金融研究,2011(09):122-137.
  15. 巫和懋,张帆.抵押贷款违约率对房价变化的分段响应:理论、证据和含义[J].国际金融研究,2010(12):50-58.
  16. 邵新建,巫和懋,覃家琦,王道平.中国IPO市场周期:基于投资者情绪与政府择时发行的分析[J].金融研究,2010(11):123-143.
  17. 林毅夫,巫和懋,邢亦青.“潮涌现象”与产能过剩的形成机制[J].经济研究,2010,45(10):4-19.
  18. 巫和懋.金融监管改革的学术思想基础[J].金融发展评论,2010(07):38-41.
  19. 邵新建,巫和懋.中国IPO中的机构投资者配售、锁定制度研究[J].管理世界,2009(10):28-41.
  20. 巫和懋.俯瞰公司金融[J].首席财务官,2008(01):96.
  21. 唐国正,熊德华,巫和懋.股权分置改革中的投资者保护与投资者理性[J].金融研究,2005(09):137-154.
  22. 巫和懋.中国经济学一百年:经济学在台湾的发展[J].经济学(季刊),2002(03):787-796.
  23. 巫和懋.序 追求真理的热情[J].学会,1997(10):24.

PAPERS (IN ENGLISH)

  1. “Investigating the real effect of China's patent surge: New evidence from firm-level patent quality data” (with Jia Lin and Howei Wu), Journal of Economic Behavior and Organization, vol. 204, pp. 422-442, December 2022.
  2. “Could government lead the way? Evaluation of China’s patent subsidy policy on patent quality” (with Jia Lin and Howei Wu), China Economic Review, Vol 69, 101633, 2021.
  3. “The Impacts of Net Stable Funding Ratio Requirement on Banks’ Choices of Debt Maturity” (with Xu Wei and Yaxian Gong), Journal of Banking and Finance, Vol 82, 229-243, 2017.
  4. “Optimal Leverage Ratio and Capital Requirements with Limited Regulatory Power” (with Yue Zhao), Review of Finance, Vol 20, 2125-2150, 2016.
  5. “A Study of Risk Retention Regulation in Asset Securitization Process” (with Guixia Guo), Journal of Banking and Finance, Vol 45, 61-71, 2014.
  6. “A Study of China’s Local Governmental Debt with Regional and Provincial Characteristics”, (with Shiliang Feng), China Economic Journal, Vol 7, 277-298, 2014.
  7. “Financial Leverage and Market Volatility with Diverse Beliefs,” Economic Theory, (with Wen-Chung Guo and Frank Yong Wang), Vol. 47, 337-364, 2011.
  8. “A Study of Prepayment Risks in China’s Mortgage-Backed Securitization,” (with Changrong Deng), China Economic Journal, Vol. 3, No. 3, 313-326, 2010.
  9. “Merge Activities and Stock Market Valuation in China,” in Financial Sector Development in the Pacific Rim ed. by Takatoshi Ito and Andrew Rose, NBER and University of Chicago Press, 2009. (TSSCI)
  10. “General Equilibrium with Endogenous Uncertainty and Default,” (with Graciela Chichilnisky), Journal of Mathematical Economics, Vol.42, 499-524, 2006. 
  11. “Production Experiences and Market Structure in R&D Competition,” (with Shun-Chiao Chang), Journal of Economic Dynamics and Control, Vol. 30, No.2, 163-183, 2006. 
  12. “Asset Price Volatility and Trading Volume with Rational Beliefs,” (with Wen-Chung Guo), Economic Theory, Vol. 23, 795-829, 2004. (cited by Robert Shiller in his Nobel Lecture (AER 2014) as a representative work on behavioral finance.)
  13. “Speculative Trading with Rational Beliefs and Endogenous Uncertainty,” (with Wen-Chung Guo), Economic Theory, Vol 21, 263-292, 2003. 
  14. “Endogenous Uncertainty in a General Equilibrium Model with Price Contingent Contracts,”(with Mordecai Kurz), Economic Theory, Vol. 8, 1996, Reproduced in Endogenous Uncertainty and Economic Fluctuations, pp.145-172, Springer-Verlag, 1997.   
  15. “Individual Risk and Mutual Insurance,” (with David Cass and Graciela Chichilnisky), Econometrica, Vol. 64, No.2, pp. 333 – 341. 1996.   
  16. “Exact Aggregation under Summability and Homogeneity with Individually Variable Prices,” (with Lawrence J. Lau), Economics Letters, Vol.50, No.3, pp. 329 – 335. 1996.
  17. “More Order without More Law: A Theory of Social Norms and Organizational Cultures,” (with Peter Huang), Journal of Law, Economics and Organization, Vol. 10, No.2, pp. 390 – 406. 1994. 
  18. “Competitive Equilibrium of Incomplete Markets for Securities with Smooth Payoffs,” (with Peter Huang), Journal of Mathematical Economics, Vol. 23, No.3, pp. 219 - 234, 1994. 
  19. “Unemployment Equilibrium in a Random Economy,” Journal of Mathematical Economics, Vol. 17, No. 4, pp. 385 – 400. 1988. 
  20. “On the Theory of Effective Demand under Stochastic Rationing,” Economic Journal, Vol. 97, No.386, pp. 487 – 492. 1987.