[PDF][PDF] Impact of Foreign Exchange Exposure and Shariah-compliant Status on Malaysian Firms' Hedging Practice

AA Wahab, R Abdul-Rahim, H Janor - Jurnal Pengurusan, 2020 - ukm.my
This study investigates the impact of foreign exchange (forex) exposure and Shariah-
compliant status on firms' decision to practise hedging. It employs panel multiple and …

Pengaruh Leverage, Growth Opportunity dan Firm Size Terhadap Keputusan Hedging Pada Perusahaan Sektor Cosumer Goods Industry Yang Terdaftar Pada BEI

V Nanda, D Muchtar, H Bahri - Jurnal Ilmu Manajemen, 2022 - journal.unesa.ac.id
This study aims to examine the effect of leverage, growth opportunity, and firm size on
hedging decisions by consumer goods industry firms. The sample of this study was 28 firms …

Portfolio insurance investment strategies: A risk-management tool

E Agic-Sabeta - UTMS Journal of Economics, 2017 - econstor.eu
Unsystemic risks in financial markets may be reduced through diversification. Systemic risks
relate to the overall economy, cannot be influenced by a single company, and require …

Individual Southeast European Capital Markets Profiles

A Dodig - Capital Markets in Southeast Europe: Origins and …, 2022 - Springer
Individual Southeast European Capital Markets Profiles | SpringerLink Skip to main content
Advertisement SpringerLink Account Menu Find a journal Publish with us Track your research …

[PDF][PDF] Role of Foreign Exchange Exposure in determining Hedging Practises in Malaysia.

AA WAHAB, RA RAHIM, H JANOR - International Journal of …, 2019 - 119.40.117.95
This study probed into the relationship between foreign exchange (FX) exposure of 123 non-
financial listed Malaysian firms, and their decision to practice hedging, for the period from …

Effect of financial derivatives on the performance of commercial banks in Nigeria

CJ Uchechukwu, RG Okafor - Afro-Asian Journal of …, 2021 - inderscienceonline.com
This paper investigates the effect of financial derivatives on the performance of commercial
banks in Nigeria. The study adopted derivative financial assets and derivative financial …

[PDF][PDF] Derivatives and Risk Management: An Overview

VK Vinitha, TG Kalarani - Contemporary Research in Finance, 2021 - researchgate.net
Risk management isn't about eliminating risk; it's about managing risk, which means picking
and choosing which risks a company is comfortable with and mitigating those it doesn't …

[PDF][PDF] The use of derivatives to hedge risk for plantation and property companies in Malaysia

MAM Isa, N Ismail, NH Abd Rahman - e-Academia Journal, 2017 - myjms.mohe.gov.my
Global financial crisis during 2007-2009 had hit corporate sectors significantly. The
corporations' liquidity and profitability were affected so badly during the crisis that forced …

[PDF][PDF] Perspektive i razvoj finansijskih derivata u Srbiji

A Hanić - 2015 - ebooks.ien.bg.ac.rs
Finansijski derivati se mogu definisati kao vrlo aktivan finansijski instrument s obzirom na
uticaj koji imaju na ekonomiju jedne zemlje. Iako su mnogi ekonomisti za nastanak svetske …

Influence of Financial Determinants on Corporate Hedging of Firms in Nairobi Securities Exchange

AI Ali - 2017 - ir.jkuat.ac.ke
The purpose of this study was to assess the influence of financial determinants on corporate
hedging for sixty four firms in the Nairobi Securities Exchange (NSE). The financial …