-
1
-
-
0006763215
-
Managing risk with derivatives
-
Baril, C.P., Ralph, L., Benke Jr. and Buetow, G.W. (1996) Managing risk with derivatives, Management Accounting, 78, 20.
-
(1996)
Management Accounting
, vol.78
, pp. 20
-
-
Baril, C.P.1
Ralph, L.2
Benke, Jr.3
Buetow, G.W.4
-
2
-
-
0039613741
-
Empirical evidence on the corporate use of derivatives
-
Berkman, H. and Bradbury, M.E. (1996) Empirical evidence on the corporate use of derivatives, Financial Management, 25, 5.
-
(1996)
Financial Management
, vol.25
, pp. 5
-
-
Berkman, H.1
Bradbury, M.E.2
-
3
-
-
77249108578
-
A new nightmare in the boardroom
-
10th February
-
Bishop, M. (1996) A new nightmare in the boardroom, The Economist, 10th February, pp. 3-5.
-
(1996)
The Economist
, pp. 3-5
-
-
Bishop, M.1
-
4
-
-
0001837326
-
The use of interest rate futures and options by corporate financial managers
-
Block, S.B. and Gallagher, T.J. (1986) The use of interest rate futures and options by corporate financial managers, Financial Management, 15, 73-8.
-
(1986)
Financial Management
, vol.15
, pp. 73-78
-
-
Block, S.B.1
Gallagher, T.J.2
-
5
-
-
21744438699
-
1995 Wharton survey of derivatives usage by US non-financial firms
-
Bodnar, G.M., Haygt, G.S. and Marston, R.C. (1996) 1995 Wharton survey of derivatives usage by US non-financial firms, Financial Management, 25, 1-13.
-
(1996)
Financial Management
, vol.25
, pp. 1-13
-
-
Bodnar, G.M.1
Haygt, G.S.2
Marston, R.C.3
-
6
-
-
0001620763
-
Wharton survey of derivatives usage by US non-financial firms
-
Bodnar, G.M., Haygt, G.S. and Marston, R.C. (1995) Wharton survey of derivatives usage by US non-financial firms, Financial Management, 24, 104-14.
-
(1995)
Financial Management
, vol.24
, pp. 104-114
-
-
Bodnar, G.M.1
Haygt, G.S.2
Marston, R.C.3
-
7
-
-
0003115099
-
The use of interest rate futures by financial institutions
-
Booth, J.R., Smith, R.L. and Stolz, R.W. (1984) The use of interest rate futures by financial institutions, Journal of Bank Research, 15, 15-20.
-
(1984)
Journal of Bank Research
, vol.15
, pp. 15-20
-
-
Booth, J.R.1
Smith, R.L.2
Stolz, R.W.3
-
9
-
-
0002361818
-
Why derivatives don't reduce FX risk
-
July
-
Copeland, T.E. and Joshi, Y. (1996) Why derivatives don't reduce FX risk, Risk Management, July, 76-8.
-
(1996)
Risk Management
, pp. 76-78
-
-
Copeland, T.E.1
Joshi, Y.2
-
10
-
-
0000351833
-
Hedging, leverage and primitive risk
-
Dolde, W. (1995) Hedging, leverage and primitive risk, Journal of Financial Engineering, 4, 187-216.
-
(1995)
Journal of Financial Engineering
, vol.4
, pp. 187-216
-
-
Dolde, W.1
-
13
-
-
85019618881
-
The effects of a firm's investment and financing decisions on the welfare of its security holders
-
Fama, E.F. (1978) The effects of a firm's investment and financing decisions on the welfare of its security holders, American Economic Review, 68(3), 272-84.
-
(1978)
American Economic Review
, vol.68
, Issue.3
, pp. 272-284
-
-
Fama, E.F.1
-
14
-
-
0345317946
-
Statement on derivatives markets and financial risk
-
fall
-
Financial Economists Roundtable (1994) Statement on derivatives markets and financial risk, Journal of Applied Corporate Finance, 7(5), fall.
-
(1994)
Journal of Applied Corporate Finance
, vol.7
, Issue.5
-
-
-
16
-
-
0002086770
-
A framework for risk management
-
November-December
-
Froot, K.A., Scharfstein, D.C. and Stein, J.C. (1994) A framework for risk management, Harvard Business Review, November-December, 91-102.
-
(1994)
Harvard Business Review
, pp. 91-102
-
-
Froot, K.A.1
Scharfstein, D.C.2
Stein, J.C.3
-
17
-
-
84993843447
-
Risk management: Coordinating corporate investment and financing policies
-
December
-
Froot, K.A., Scharfstein, D.C. and Stein, J.C. (1993) Risk management: coordinating corporate investment and financing policies, Journal of Finance, December, 1629-59.
-
(1993)
Journal of Finance
, pp. 1629-1659
-
-
Froot, K.A.1
Scharfstein, D.C.2
Stein, J.C.3
-
18
-
-
0344454989
-
Derivatives: Practices and principles. Follow-up surveys of industry practice
-
Washington D.C. (December), US
-
Global Derivatives Study Group (1994) Derivatives: practices and principles. Follow-up surveys of industry practice, The Group of Thirty, Washington D.C. (December), US.
-
(1994)
The Group of Thirty
-
-
-
19
-
-
0345317937
-
Derivatives: Practices and principles appendix III. Survey of industry practice
-
Washington D.C. (March), US
-
Global Derivatives Study Group (1994) Derivatives: practices and principles appendix III. Survey of industry practice, The Group of Thirty, Washington D.C. (March), US.
-
(1994)
The Group of Thirty
-
-
-
20
-
-
0344454999
-
Derivatives: Practices and principles
-
Washington D.C. (July), US
-
Global Derivatives Study Group (1993) Derivatives: practices and principles, The Group of Thirty, Washington D.C. (July), US.
-
(1993)
The Group of Thirty
-
-
-
21
-
-
0344886776
-
Financial integrity recommendations: For futures and options markets and market participants
-
June
-
Global Task Force on Financial Integrity (1995) Financial integrity recommendations: for futures and options markets and market participants, Futures Industry Association, June.
-
(1995)
Futures Industry Association
-
-
-
23
-
-
0345317935
-
An argument against hedging by matching the currencies of costs and revenues
-
Fall
-
Harris, T.S., Melumad, N.D. and Shibano, T. (1996) An argument against hedging by matching the currencies of costs and revenues, Journal of Applied Corporate Finance, Fall, 9(3), 90-7.
-
(1996)
Journal of Applied Corporate Finance
, vol.9
, Issue.3
, pp. 90-97
-
-
Harris, T.S.1
Melumad, N.D.2
Shibano, T.3
-
24
-
-
0344454988
-
Know your derivatives before your leap
-
January
-
Haynes, R.A. (1996) Know your derivatives before your leap, Risk Management, January, 42-6.
-
(1996)
Risk Management
, pp. 42-46
-
-
Haynes, R.A.1
-
27
-
-
0002887096
-
Identifying, measuring and hedging currency risk at Merck
-
Lewent, J. and Kearney, A. (1990) Identifying, measuring and hedging currency risk at Merck, Journal of Applied Corporate Finance, 2, 19-28.
-
(1990)
Journal of Applied Corporate Finance
, vol.2
, pp. 19-28
-
-
Lewent, J.1
Kearney, A.2
-
28
-
-
0001095412
-
On the corporate demand for insurance
-
Mayers, D. and Smith Jr, C.W. (1982) On the corporate demand for insurance, Journal of Business, 55, 281-96.
-
(1982)
Journal of Business
, vol.55
, pp. 281-296
-
-
Mayers, D.1
Smith C.W., Jr.2
-
29
-
-
0010162942
-
Financial innovation and economic performance
-
winter
-
Merton, R.C. (1992) Financial innovation and economic performance, Journal of Applied Corporate Finance, 4(4), winter.
-
(1992)
Journal of Applied Corporate Finance
, vol.4
, Issue.4
-
-
Merton, R.C.1
-
30
-
-
0030524517
-
Evidence on corporate hedging policy
-
September
-
Mian, S.L. (1996) Evidence on corporate hedging policy, Journal of Financial and Quantitative Analysis, September, 31(3), 419-39.
-
(1996)
Journal of Financial and Quantitative Analysis
, vol.31
, Issue.3
, pp. 419-439
-
-
Mian, S.L.1
-
31
-
-
0000294096
-
The cost of capital, corporation finance and the theory of investment
-
Modligliani, F. and Miller, M. (1958) The cost of capital, corporation finance and the theory of investment, American Economic Review, 53, 261-97.
-
(1958)
American Economic Review
, vol.53
, pp. 261-297
-
-
Modligliani, F.1
Miller, M.2
-
32
-
-
84993908963
-
On the determinants of corporate hedging
-
March
-
Nance, D.R., Smith, C.W. and Smithson, C.W. (1993) On the determinants of corporate hedging, Journal of Finance, March, 267-84.
-
(1993)
Journal of Finance
, pp. 267-284
-
-
Nance, D.R.1
Smith, C.W.2
Smithson, C.W.3
-
35
-
-
21344464184
-
An empirical study of interest rate swap usage by non-financial corporate business
-
Samant, A. (1996) An empirical study of interest rate swap usage by non-financial corporate business, Journal of Financial Services Research, 10, 43-57.
-
(1996)
Journal of Financial Services Research
, vol.10
, pp. 43-57
-
-
Samant, A.1
-
36
-
-
0002653666
-
An integrated approach to corporate risk management
-
Joel Stern and Donald Chew, Blackwell Ltd, England
-
Shapiro, Alan C. and Sheridan Titman (1986) An integrated approach to corporate risk management, in Joel Stern and Donald Chew, The revolution in corporate finance, Blackwell Ltd, England, pp. 215-29.
-
(1986)
The Revolution in Corporate Finance
, pp. 215-229
-
-
Alan, S.C.1
Titman, S.2
-
40
-
-
0345317945
-
-
July-August
-
Treasury and Risk Management (1997) 1997 Derivatives Survey, July-August.
-
(1997)
1997 Derivatives Survey
-
-
-
43
-
-
0040408744
-
How financial engineering can advance corporate strategy
-
January-February
-
Tufano, P. (1996) How financial engineering can advance corporate strategy, Harvard Business Review, January-February, 136-52.
-
(1996)
Harvard Business Review
, pp. 136-152
-
-
Tufano, P.1
-
44
-
-
0009169278
-
Who manages risk? An empirical examination of risk management practices in the gold mining industry
-
September
-
Tufano, P. (1996) Who manages risk? An empirical examination of risk management practices in the gold mining industry, Journal of Finance, 51(4), September, 1097-137.
-
(1996)
Journal of Finance
, vol.51
, Issue.4
, pp. 1097-1137
-
-
Tufano, P.1
-
45
-
-
0001574842
-
Bankruptcy Costs: Some Evidence
-
Warner, J. (1977) Bankruptcy costs: some evidence, Journal of Finance, 32, 337-48.
-
(1977)
Journal of Finance
, vol.32
, pp. 337-348
-
-
Warner, J.1
|