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英国电信产业管理财务风险硕士论文-Managing Financial Risks with Derivatives: The case of the UK Telecommunications Industry [2]

论文作者:留学生论文网论文属性:硕士毕业论文 dissertation登出时间:2011-12-13编辑:anterran点击率:8505

论文字数:10443论文编号:org201112131132385911语种:英语 English地区:英国价格:$ 88

关键词:管理财务风险论文英国电信产业Managing Financial RisksDerivativescaseUK Telecommunications Industry

摘要:管理财务风险论文-关于英国电信产业-Managing Financial Risks with Derivatives: The case of the UK Telecommunications Industry

. Bodnar, G. M. and Gebhardt, G. (1999) Derivatives usage in risk management by US and German non-financial firms: A Comparative Survey, Journal of International Finanacial Accounting, 10,3, pp. 153-187

8. Bodnar, G. M., Hayt, G. S., Marston, R. C. and Smithson, C. W. (1996) 1995 Wharton survey of derivatives usage by US non-financial firms, Financial Management, Financial Management, 24, pp. 104-33.

9. Bodnar, G. M., Hayt, G. S., Marston, R. C. and Smithson, C. W. (1998) Wharton survey of derivatives usage by US non-financial firms, Financial Management, Financial Management, 27, pp. 70-91.

10. Cezairli, A. (1988) Foreign exchange exposure management in multinational corporations, PhD dissertation, Case Western Reserve University.

11. Choi, J.J., Elyasiani, E., 1(997). Derivative Exposure and the Interest Rate and Exchange Rate Risk of U.S. Banks, Journal of Financial Services Research, 12 2-3, pp. 267-286.

12. Collier, P. and Davies, E. (1985) The management of currency transaction ris by UK multinational companies. Accounting and Business Research, 15, pp.327-334.

13. Duangpoly, O., Bakay, V. H., Belk, P. A. (1997) The management of foreigh exchange risk in US multinational enterprises: An empirical investigation, Managerial Finance, 23, 7, pp. 85-100

14. Garlicki, T. D., Fabozzi, F. J., Fonfeder, R. (1987) The impact of earnings under FASB 52 on equity returns, Financial Management, Autumn, pp. 36-44

15. Glaum, Martin, Strategic management of exchange rate risks, Long range planning, 23, 4, pp. 65-72

16. Grant, K. and Marshall, A. P. (1997) Large UK companies and derivatives, European Financial Management, 3, pp.194-208.

17. Jesswein, K., Chuck C. Y. Kwok and William, R. Folks Jr (1995) What new currency risk product companies are using and why?. Journal of Applied Coprporate Fianace, 8, pp. 103-114

18. Khoury, S. and Chan, K. (1988) Hedging foreign exchange risk; selecting the optimal tool. Midland corporate Finance Journal, 5, pp. 40-52

19. Kohn, K. 1990. Managing Foreign Exchange Risk Profitably. Columbia Journal of World Business, September, pp.203-207.

20. Smith, C. and Stulz, R. (1985) The determinants of firm hedging policies. Journal of Financial and Quantitative Analysis, 20, pp. 391-405

21. Soenen, L. and Madura, I (1991) Foreign exchange management- a strategic approach, Long Range Planning, 24, 5, pp. 119-124

22. Mian, S. (1996) Evidence on corporate hedging policy, Journal of Fianancial and Quantitative Analysis, 31, pp. 419-439

23. Moffet, M. and Karlsen, J. (1994) Managing foreign exchange rate economic exposure, Journal of International Financial Management and Accounting, 5, 2, pp.157-175

24. Moles, P., Bradley, K. (2002) The nature and determinants of economic currency exposure of non financial UK firms, Managerial Finance, 28, 11 pp 1-15

25. Nance, D. R., C. W. Smith, and C. W. Smithson, 1993, On the determinants      of     corporate hedging, Journal of Finance, March, pp. 267–284.

26. Shapiro. A. (1992) Multinational Financial Management (4th ed.), London: Allyn & Bacon

27.  Srinivasulu, S. L., (1981) Strategic response to foreign exchange risks, Columbia Journal of World Business, 1, pp. 13-23

 

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