Scholarly and Creative Works
2025
- Elliott, T. C., Kim, J.-C., & Yi, H.-C. (n.d.). Global Market Dynamics: The Impact of Home Country Macro-Institutional Quality on NYSE-Listed Non-U.S. Stocks. Review of Pacific Basin Financial Markets and Policies.
2024
- Lee, K. Y., Kim, J.-C., & Yi, H.-C. (2024). Liquidity Difference between Non-U.S. and U.S. IPOs on the NYSE Listings. Review of Quantitative Finance and Accounting, 57.
- Elliott, T., Kim, J.-C., & Yi, H.-C. (2024). The Impact of Corporate Ethical Standards on the Liquidity of non-U.S. Stocks: An Examination of the Chinese Melamine Scandal. Journal of Economics and Finance, 48, 394–418.
- Bae, S. C., Liu, L., & Yi, H.-C. (n.d.). Do Consumer Awareness and Product Market Competition Matter in Corporate Social Responsibility? International Journal of Business Governance and Ethics.
- Ngo, T., Susnjara, J., & Yi, H.-C. (2024). Market Share, Investor Horizon, and Stock Crash Risk. Journal of Corporate Accounting & Finance, 48.
2023
- Choi, D., Lee, J., & Yi, H.-C. (2023). Managerial Risk-Taking Incentives and Debt Diversity: Evidence from FAS 123R. Financial Research Letters.
2021
- Chang, K., Li, Y., & Yi, H.-C. (2021). Informed Equity Ownership and Bank Loan Contracting. Journal of Business Finance & Accounting, 48(7–8), 1368–1403.
- Kim, Y., Kim, Y., & Yi, H.-C. (2021). Vice or Virtue? The Impact of Earnings Management on Bank Loan Agreements. International Review of Economics & Finance, 73, 303–324.
- Lee, J., Kim, Y., & Yi, H.-C. (2021). Is Foreign Exchange Risk Priced in Bank Loan Spreads? Review of Quantitative Finance and Accounting, 57, 1061–1092.
2020
- Chang, K., Li, Y., & Yi, H.-C. (2020). Does Geographic Proximity Change the Passiveness of Equity Ownership by Bank Trust? International Review of Finance, 20(1), 3–43.
2019
- Lee, J., Shim, H., & Yi, H.-C. (2019). Re-visiting Bookbuilding versus Auction IPOs: A Perspective of Informationally Efficient Prices in the Aftermarket. Journal of Financial Research, 42, 491–523.
2018
- Bae, S. C., Chang, K., & Yi, H.-C. (2018). Are More Corporate Social Investments Better? Evidence of Non-Linearity Effect on Costs of U.S. Bank Loans. Global Finance Journal, 38, 82–96.
- Bae, S. C., Chang, K., & Yi, H.-C. (2018). Corporate Social Responsibility, Credit Rating, and Private Debt Contracting: New Evidence from Syndicated Loan Market. Review of Quantitative Finance and Accounting, 50(1), 261–299.
2017
- Johnson, W. F., & Yi, H.-C. (2017). Do Target Date Mutual Funds Meet Their Targets? Journal of Asset Management, 18(7), 566–579.
2016
- Bae, S. C., Chang, K., & Yi, H.-C. (2016). The Impact of Corporate Social Responsibility Activities on Corporate Financing: A Case of Bank Loan Covenants. Applied Economics Letters, 23(17).
2013
- Lee, S. W., & Yi, H.-C. (2013). National Cultures, Trade Balance, and the Cost of Firm Borrowing Evidence from International Lending Syndicates. Journal of Korea Trade, 17(3), 29–54.
2012
- Chang, K., Yi, H.-C., & Yip, Y. (2012). Effects of Cultural Difference on Cross Country Mergers and Acquisitions. Global Business and Finance Review, 17(2), 121–136.
- Khieu, H., Mullineaux, D. J., & Yi, H.-C. (2012). The Determinants of Bank Loan Recovery Rates. Journal of Banking and Finance, 36, 923–933.
- Chang, K., Wee, J. B., & Yi, H.-C. (2012). Does National Culture Influence the Firm’s Choice of Debt Maturity? Asia-Pacific Journal of Financial Studies, 41, 424–457.
- Chotigeat, T., Harjoto, M. A., & Yi, H.-C. (2012). Why Do Banks Acquire Non-Banks? Journal of Economics and Finance, 36(3), 587–612.
2011
- Suh, T., Yi, H.-C., & Houston, M. B. (2011). Reassessing Firm Size in International Marketing Research. Journal of Global Marketing, 24(1), 85–99.
- Chong, B.-U., & Yi, H.-C. (2011). Bank Loans, Trade Credits, and Borrower Characteristics: Theory and Empirical Evidence. Asia-Pacific Journal of Financial Studies, 40(1), 37–68.
2009
- Chotigeat, T., Harjoto, M. A., & Yi, H.-C. (2009). Bank Loan Pricing in the Asia-Pacific Region. Multinational Business Review, 17(3), 49–69.
2008
- Chotigeat, T., Harjoto, M. A., & Yi, H.-C. (2008). How Bank Loans are Priced: A Comparative Study between Asia and Western Europe. Global Business and Finance Review, Volume 13(Number 2), 55–70.
- Knox, K. J., Blankmeyer, E., Yi, H.-C., & Stutzman, J. (2008). Quality of Care in Texas Nursing Facilities Revisited. Midwestern Business and Economic Review, (41), 27–35.
- Chang, K., Harjoto, M. A., & Yi, H.-C. (2008). A Simple Way to Convey Internal Rate of Return, Cost of Capital, Investment Performance, and Capital Structure Using Compustat® Data in Finance Classes. Journal of Financial Education, Vol. 34, 95–110.
- Ott, S. H., Riddiough, T. J., Yi, H.-C., & Yoshida, J. (2008). On Demand: Cross-Country Evidence from Commercial Real Estate Asset Markets. International Real Estate Review, Vol.11(No. 1), 1–44.
2007
- Ryu, Yi, H.-C., S., C. Y., Dozier, S., & Mattey, P. (2007). User Preferences of Numeric Entry Methods for Interactive Voice Response System (IVRS). Seoul, Korea: Proceedings of the 10th IFAC/IFIP/IFORS/IEA Symposium on Analysis, Design, and Evaluation of Human-Machine Systems.
- Harjoto, M. A., & Yi, H.-C. (2007). Financial Leverage and Growth: Small versus Large Indonesian Firms. Global Business and Finance Review, Volume 12(Number 2), 31–40.
2006
- Lee, S. W., & Yi, H.-C. (2006). Adverse Selection, Moral Hazard, and Relationship in Loan Contracts: Evidence from Korean Borrowers. Journal of Global Business, Volume 17(Number 34), 61–71.
- Mullineaux, D. J., Harjoto, M., & Yi, H.-C. (2006). A Comparison of Syndicated Loan Pricing at Investment and Commercial Banks. Financial Management, Volume 35(Issue 4), 49–70.
- Yi, H.-C., & Mullineaux, D. J. (2006). The Informational Role of Bank Loan Ratings. Journal of Financial Research, Volume XXIX(Number 4), 481–501.
2005
- Yi, H.-C., & Lee, S. W. (2005). The Determinants of Risky Loans: Evidence from the Syndicated Loan Market in Korea (Vol. Volume 12). Miami, Florida: Proceedings of the Association for Global Business.
- Ott, S. H., Riddiough, T. J., & Yi, H.-C. (2005). Finance, Investment, and Investment Performance: Evidence from the REIT Sector. Real Estate Economics, Volume 33(Issue 1), 203–235.
2001
- Ott, S. H., & Yi, H.-C. (2001). Real Options and Developments: A Model of Regional Supply and Demand. Real Estate Finance, 18(1), 47–56.
- Bradley, D. J., Jordan, B. D., Yi, H.-C., & Roten, I. C. (2001). Venture Capital and IPO Lockup Expiration: An Empirical Analysis. Journal of Financial Research, XXIV(4), 465–493.