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Foreign Exchange Risk Management
Long Range Planning, 1979This paper examines some of the fundamental problems involved in foreign exchange risk management. The author examines the particular problems facing U.K. companies in the acquisition of finance and its investment oil an international basis. The analysis places these decisions within the context of strategic planning and concentrates upon the group of ...
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Managing Foreign Exchange Risk
2018This chapter discusses the method's application to foreign exchange risk management by elaborating how to use foreign exchange options for hedging the interest rate risk. The problem is to determine how many European Put options to purchase for optimal hedging of the foreign exchange risk: 1) Stochastic Optimisation is used to construct Efficient ...
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Macroeconomic News and Risk Exposure to Foreign Exchange Rate Evidence from Chinese Listed Firms
Emerging Markets Finance and Trade, 2022Dongxu Li, Erzhuo Liu, Yun Wei Li
exaly
Foreign Exchange risk management [PDF]
This report addresses a number of complex issues related to foreign exchange risk management. The report begins by defining the term ‘foreign exchange risk’ in an attempt to dispel the confusion surrounding this term and other types of risks, such as political risk, country risk and currency risk, to name but a few.Having identified the risk that the ...
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Exchange rates, foreign currency exposure and sovereign risk
Journal of International Money and Finance, 2021Helmut Herwartz
exaly

