11 – 20 of 36
- show: 10
- |
- sort: year (new to old)
Close
Embed this list
<iframe src=" "
width=" "
height=" "
allowtransparency="true"
frameborder="0">
</iframe>
- 2016
-
Mark
Why FX Risk Management Is Broken–and What Boards Need to Know to Fix It
(
- Contribution to journal › Article
- 2015
-
Mark
Does Centralisation of FX Derivative Usage Impact Firm Value?
(
- Contribution to journal › Article
-
Mark
The Relationship between Voluntary Disclosure, External Financing and Financial Status
(
- Contribution to journal › Article
-
Mark
Wall of cash: The investment-cash flow sensitivity when capital becomes abundant
(
- Contribution to journal › Article
-
Mark
Walking the Walk: Inside Ownership and Selective Hedging
2015)(
- Working paper/Preprint › Working paper
-
Mark
The Relationship between Voluntary Disclosure, External Financing, and Financial Status
(
- Working paper/Preprint › Working paper
- 2014
-
Mark
CEO age, risk incentives, and hedging instrument choice
(
- Working paper/Preprint › Working paper
-
Mark
Value and Risk: Enterprise Risk Management in Statoil
2014) p.59-74(
- Chapter in Book/Report/Conference proceeding › Book chapter
-
Mark
A Tale of Beauties and Beasts: Testing the Optimal Disclosure Hypothesis
(
- Contribution to journal › Article
-
Mark
Derivative Usage, Risk Disclosure, and Firm Value
(
- Contribution to journal › Article