32 june/july 2001 f or both in-house and retained international counsel, a thorough knowledge of international risk exposure techniques can serve
Imports, exports, currency risk exposure, and stock returns∗ suparna chakraborty, yi tang, and liuren wu zicklin school of business, baruch...
Forwards versus options for hedging the currency exposure risk: an application to international portfolio selection raimond maurer and shohreh valiani
Conscious currency a new approach to understanding currency exposure ian toner, cfa, head of currency implementation november 2010
Journal of multinational financial management 9 (1999) 195-207 exposure to currency risk by us multinational corporations hyun-han shin a,*, luc soenen b,1
Paper #3: working paper on mitigating currency risk for investing in microfinance institutions in developing countries by: romi bhatia columbia university
Using currency futures to hedge currency risk by sayee srinivasan & steven youngren product research & development chicago mercantile exchange inc.
Electronic copy available at: http://ssrn.com/abstract= 1139447 common risk factors in currency markets ∗ hanno lustig ucla anderson and nber nick roussanov
The microfinance industry is finding that rapid growth introduces new questions and issues. one of the biggest barely appeared on most radar screens just a few years...
Foreign exchange exposure is the sensitivity of the real domestic currency value of assets, liabilities, or operating incomes to unanticipated changes in
Journal of financial and strategic decisions volume 9 number 1 spring 1996 67 hedging foreign currency transaction exposure:
Asymmetric exposure to foreign-exchange risk: financial and real option hedges implemented by u.s. multinational corporations by david a. cartera, christos...
Common risk factors in currency markets∗ hanno lustig ucla anderson and nber nick roussanov wharton adrien verdelhan mit sloan and nber april 2009
Monday, december 12, 2005 professor mihir desai international financial management marina lutova, maria mcclay, and chaim motzen evaluating currency exposure and...
Corporate hedging of currency exchange risk supervisors: xiaozhou feng ir. henk kroon...
How firms hedge foreign currency exposure: foreign currency derivatives versus foreign currency debt amrit judge* and ephraim clark this draft: november 2004
Techniques for managing economic exposure p. 1 classnote prof. gordon bodnar techniques for managing exchange rate exposure a firm's economic exposure to...
foreign currency denominated debt: an empirical examination1 simi kedia* abon mozumdar graduate school of b.administration pamplin college of...
The journal of international business and law volume 4, no. 1, spring 2005, pages 57-67 foreign currency risk management practices in u.s. multinationals
A study on the role of treasury management on currency risk management: the case of selected commercial banks in tanzania. by moremi marwa: mba (finance), cpa (t), b.com
Why/when hedge exposure? p. sercu, international finance: theory into practice overview chapter 12 whyñor whenñ should we hedge our currency exposure?
icann foreign exchange risk management policy may 2009 table of contents page number 1. purpose 2 2. scope 2
Foreign currency exposure and hedging: evidence from foreign acquisitions söhnke m. bartram, natasha burns, and jean helwege* abstract previous research on the...
Part i. alternative measures of foreign exchange exposure i.alternative measures a.types 1.accounting or translation exposure:...