1 – 37 of 37
- show: 250
- |
- sort: year (new to old)
Close
Embed this list
<iframe src=" "
width=" "
height=" "
allowtransparency="true"
frameborder="0">
</iframe>
- 2022
-
Mark
How do Firms Hedge in Financial Distress?
(
- Contribution to journal › Article
- 2020
-
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
Disappearing investment‐cash flow sensitivities: earnings have not become a worse proxy for cash flow
(
- Contribution to journal › Article
- 2019
-
Mark
Do credit ratings measure financial constraints?
2019) Financial Management Association European Conference 2019(
- Contribution to conference › Paper, not in proceeding
-
Mark
Financial Distress, Risk Shifting, and the Use of Options
2019) Financial Management Association 2019 Global Conference(
- Contribution to conference › Paper, not in proceeding
-
Mark
Do Investment-Cash Flow Sensitivities Measure Investment Intensity or Financal Constraints?
2019) 25th International Panel Data Conference(
- Contribution to conference › Other
- 2018
-
Mark
Reappearing Investment-Cash Flow Sensitivities
2018) Financial Management Association European Conference 2018(
- Contribution to conference › Other
- 2017
-
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
- 2015
-
Mark
Wall of cash: The investment-cash flow sensitivity when capital becomes abundant
(
- Contribution to journal › Article
- 2014
-
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
Exchange rate regime shift and price patterns
(
- Contribution to journal › Article
- 2010
-
Mark
Rationality of Market Responses to the Credit Crisis
2010) World Finance Conference, 2010(
- Contribution to conference › Paper, not in proceeding
-
Mark
What You See is What You Get: Contrasting Measures of Risk Exposure
2010) World Finance Conference, 2010(
- Contribution to conference › Paper, not in proceeding
- 2008
-
Mark
The Role of Country, Industry, and Style for International Diversification Strategies
2008) Swedish Network for European Studies in Economics and Business Conference, 2008(
- Contribution to conference › Paper, not in proceeding
- 2007
-
Mark
Exchange Rate Regime Shifts and Price Patterns
2007) Financial Management Association Annual Conference / Midwest Finance Association Conference(
- Contribution to conference › Paper, not in proceeding
-
Mark
Risk Management Strategies in Financial Distress
2007) Financial Management Association European Conference, 2007(
- Contribution to conference › Paper, not in proceeding
-
Mark
Factor Price Convergence in the EMU
2007) Swedish Network for European Studies in Economics and Business Conference, 2007(
- Contribution to conference › Paper, not in proceeding
- 2006
-
Mark
Producer Prices in the Transition to a Common Currency
2006) In IFN Working Paper(
- Working paper/Preprint › Working paper
-
Mark
Producer Prices in the Transition to a Common Currency
2006) International Conference on European Financial Integration and China(
- Contribution to conference › Paper, not in proceeding
-
Mark
Errors-in-Variables Corrections in Cross Sectional Beta Tests
2006) Financial Management Associations International Meetings, 2006(
- 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
-
Mark
Stock Market Integration in the EU
2005) The Swedish Network for European Studies in Economics and Business Conference / European Financial Management Association Conference, 2004(
- Contribution to conference › Paper, not in proceeding
- 2003
-
Mark
Finansiering
2003)(
- Book/Report › Book
- 2002
-
Mark
Euron och konkurrens mellan EU-länder
2002) p.73-104(
- Chapter in Book/Report/Conference proceeding › Book chapter
-
Mark
Euron och europeisk prisutveckling i ett svenskt perspektiv
(
- Contribution to specialist publication or newspaper › Specialist publication article
-
Mark
The euro and European competition in a Finnish perspective
(
- Contribution to journal › Article
-
Mark
Exchange-Rate and Interest-Rate Driven Competitive Advantages in the EMU
2002) The Swedish Network for European Studies in Economics and Business Conference / Financial Management Association European Conference, 2002(
- Contribution to conference › Paper, not in proceeding
-
Mark
Euron och europeisk konkurrens i ett finskt perspektiv
(
- Contribution to journal › Article
- 2001
-
Mark
Essays on Corporate Exposure to Macroeconomic Risk
2001)(
- Thesis › Doctoral thesis (compilation)
-
Mark
On the Impact of the Euro on Corporate Exposure to Macroeconomic Risk
2001) Swedish Network for European Studies in Economics and Business Conference, 2001(
- Contribution to conference › Paper, not in proceeding
-
Mark
Is Macroeconomic Exposure Asymmetric?
2001) Arne Ryde Workshop in Empirical Finance(
- Contribution to conference › Paper, not in proceeding
- 2000
-
Mark
Macroeconomic Exposure of European Firms
2000) Financial Management Associations International Meetings, 2000(
- Contribution to conference › Paper, not in proceeding
-
Mark
Do Country and Industry Explain Macroeconomic Exposure?
2000) Swedish Network for European Studies in Economics and Business Conference, 2000(
- Contribution to conference › Paper, not in proceeding
- 1999
-
Mark
Economic Exposure, Common Monetary Policy, and the EMU
1999) Swedish Network for European Studies in Economics and Business Conference, 1999(
- Contribution to conference › Paper, not in proceeding