Foreign exchange risk exposure: Survey and suggestions

A Muller, WFC Verschoor - Journal of Multinational Financial Management, 2006 - Elsevier
Assessing the sensitivity of firm value to exchange rate changes has been one of the most
challenging issues in international financial management over the last two decades. This …

The effects of financial and operational hedging on company value: The case of Malaysian multinationals

A Hadian, C Adaoglu - Journal of asian Economics, 2020 - Elsevier
This study examines the value effects of financial and operational hedging in a managed
floating exchange rate regime with strict limitations on the trading of Malaysian Ringgit for a …

The response of industry stock returns to market, exchange rate and interest rate risks

S Hyde - Managerial Finance, 2007 - emerald.com
Purpose–This study seeks to investigate the sensitivity of stock returns at the industry level to
market, exchange rate and interest rate shocks in the four major European economies …

Determinants of corporate foreign exchange risk hedging

LL Chong, XJ Chang, SH Tan - Managerial Finance, 2014 - emerald.com
Purpose–The purpose of this study is to delineate the factors influencing the use of financial
derivatives by non-financial firms in managing their exchange rate exposure. In total, 219 …

The exposure of shipping firms' stock returns to financial risks and oil prices: a global perspective

AA El-Masry, M Olugbode, J Pointon - Maritime Policy & …, 2010 - Taylor & Francis
Shipping is an industry that is highly geared towards international trade and therefore, would
seem to be highly susceptible to fluctuations in macroeconomic factors. This article …

The exchange rate exposure of UK non‐financial companies

A El‐Masry, O Abdel‐Salam, A Alatraby - Managerial finance, 2007 - emerald.com
Purpose–The purpose of this paper is to investigate the exchange rate exposure of UK non‐
financial companies from January 1981 to December 2001. Design/methodology/approach …

Exchange rate exposure: do size and foreign operations matter?

A El‐Masry, O Abdel‐Salam - Managerial Finance, 2007 - emerald.com
Exchange rate exposure: do size and foreign operations matter? | Emerald Insight Books and
journals Case studies Expert Briefings Open Access Publish with us Advanced search …

[HTML][HTML] Commodity exposure in the eurozone: How EU energy security is conditioned by the Euro

R Lado-Sestayo, F De Llano-Paz, M Vivel-Búa… - Energy, 2023 - Elsevier
Abstract The European Union is immersed in a process of energy transition focused on
reducing the weight of fossil fuels. The current context is also characterized by the …

Exchange rate risk and sectoral returns: A wavelet-based MRA-EDCC GARCH analysis

S Qureshi, F Qureshi, AB Soomro… - … in Statistics-Theory …, 2022 - Taylor & Francis
This study empirically investigates the spillover between exchange rate risk and sectoral
returns in Pakistan over the period of 1992–2017 using high-frequency data. Building on the …

Measuring and explaining firm-level exchange rate exposure: The role of foreign market destinations and international trade

A Van Cauwenberge, M Vancauteren, R Braekers… - Economic …, 2021 - Elsevier
How does international trade affect the exchange rate exposure of firms? Trade induces
greater economic exposure to exchange rate volatility. But more diversification in trade …