Karl Håkan Jankensgård
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- 2024
-
Mark
The Black Swan problem : The role of capital, liquidity and operating flexibility
(
- Contribution to journal › Article
- 2022
-
Mark
Me, myself and I : CEO narcissism and selective hedging
(
- Contribution to journal › Article
-
Mark
How do Firms Hedge in Financial Distress?
(
- Contribution to journal › Article
- 2020
-
Mark
Disappearing investment‐cash flow sensitivities: earnings have not become a worse proxy for cash flow
(
- Contribution to journal › Article
-
Mark
Derivative Cash Flows and Corporate Investment
(
- Contribution to journal › Article
-
Mark
Risk Shifting or Risk Management: How do Firms Hedge in Financial Distress?
2020) Financial Management Association International: 2020 Annual Meeting(
- Contribution to conference › Paper, not in proceeding
-
Mark
Corporate foreign exchange risk management
2020)(
- Book/Report › Book
- 2019
-
Mark
A theory of enterprise risk management
(
- Contribution to journal › Article
-
Mark
Do Investment-Cash Flow Sensitivities Measure Investment Intensity or Financal Constraints?
2019) 25th International Panel Data Conference(
- Contribution to conference › Other
-
Mark
Financial Distress, Risk Shifting, and the Use of Options
2019) Financial Management Association 2019 Global Conference(
- Contribution to conference › Paper, not in proceeding
- 2018
-
Mark
Reappearing Investment-Cash Flow Sensitivities
2018) Financial Management Association European Conference 2018(
- Contribution to conference › Other
-
Mark
Between a Rock and a Hard Place : New Evidence on the Relationship between Ownership and Voluntary Disclosure
(
- Contribution to journal › Article
-
Mark
The Shareholder Base Hypothesis of Stock Return Volatility : Empirical Evidence
(
- Contribution to journal › Article
- 2017
-
Mark
CEO Age, Risk Incentives, and Hedging Strategy
(
- Contribution to journal › Article
-
Mark
Disappearing Investment-Cash Flow Sensitivities: Earnings Have Not Become a Worse Proxy for Cash Flow
2017) Financial Management Association Annual Meeting 2018(
- Contribution to conference › Paper, not in proceeding
- 2016
-
Mark
Why FX Risk Management Is Broken–and What Boards Need to Know to Fix It
(
- Contribution to journal › Article
- 2015
-
Mark
Wall of cash: The investment-cash flow sensitivity when capital becomes abundant
(
- Contribution to journal › Article
-
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
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
Derivative Usage, Risk Disclosure, and Firm Value
(
- Contribution to journal › Article
-
Mark
CEO age, risk incentives, and hedging instrument choice
(
- Working paper/Preprint › Working paper
-
Mark
A Tale of Beauties and Beasts: Testing the Optimal Disclosure Hypothesis
(
- Contribution to journal › Article
-
Mark
Value and Risk: Enterprise Risk Management in Statoil
2014) p.59-74(
- Chapter in Book/Report/Conference proceeding › Book chapter
-
Mark
A Tide of Cash: Corporate Governance and the Management of Large Cash Windfalls
2014) In Knut Wicksell Centre for Financial Studies Working Paper series(
- Working paper/Preprint › Working paper
- 2013
-
Mark
A Wall of Cash - The Investment Cash Flow-Sensitivity when Capital Becomes Abundant
(
- Working paper/Preprint › Working paper
- 2012
-
Mark
Exposure-Based Cash-Flow-at Risk for Value Creating Risk Management under Macroeconomic Uncertainty
2012)(
- Chapter in Book/Report/Conference proceeding › Book chapter
- 2011
-
Mark
Asset Illiquidity and Corporate Hedging
2011)(
- Working paper/Preprint › Working paper
-
Mark
Essays on Corporate Risk Management
2011)(
- Thesis › Doctoral thesis (compilation)
- 2010
-
Mark
Measuring Corporate Liquidity Risk
(
- Contribution to journal › Article
- 2009
-
Mark
Enterprise Risk Budgeting - Bringing Financial Management into the Financial Planning Process
(
- Contribution to journal › Article
- 2008
-
Mark
Cash-Flow-at-Risk and Debt Capacity
2008)(
- Working paper/Preprint › Working paper
- 2007
-
Mark
Risk Management Strategies in Financial Distress
2007) Financial Management Association European Conference, 2007(
- Contribution to conference › Paper, not in proceeding
- 2005
-
Mark
Exposure-Based Cash-Flow-at-Risk: An Alternative to VaR for Industrial Companies
(
- Contribution to journal › Article
-
Mark
Exposure-Based Cash-Flow-at-Risk under Macroeconomic Uncertainty
2005) European International Business Academy Conference / Financial Management Association European Conference(
- Contribution to conference › Paper, not in proceeding