Does risk management add value? A survey of the evidence

C Smithson, BJ Simkins - Journal of applied corporate finance, 2005 - Wiley Online Library
The fact that 92% of the world's 500 largest companies recently reported using derivatives
suggests that corporate managers believe financial risk management can increase …

[图书][B] Bank management

TW Koch, SS MacDonald, Z He - 2000 - gperelman.com
I. SOUTHWEST TRADING COMPANY, TAOS, NEW MEXICO. Summer is approaching and
Steven and Sue Mahan have finally decided that their idea of a successful Southwest …

[图书][B] Capitalism with derivatives: A political economy of financial derivatives, capital and class

D Bryan, M Rafferty - 2005 - books.google.com
What are the links between things as diverse as the prices of pork bellies, interest rates, and
corporate stock? They are all being translated into risk and priced through the system of …

[图书][B] Financial derivatives: a blessing or a curse?

S Grima, EI Thalassinos - 2020 - emerald.com
Business, Aarhus School of Business, Denmark. Retrieved from http://pure. au.
dk/portal/files/32327795/0002867. pdf. Accessed on 22 November 2019. Aalberts, R., & …

How do financial firms manage risk? Unraveling the interaction of financial and operational hedging

KW Hankins - Management Science, 2011 - pubsonline.informs.org
This paper investigates how firms manage risk by examining the relationship between
financial and operational hedging using a sample of bank holding companies. Risk …

Monetary policy and financial stability: What role for the futures market?

J Driffill, Z Rotondi, P Savona, C Zazzara - Journal of Financial stability, 2006 - Elsevier
This paper examines interactions between monetary policy and financial stability. There is a
general view that central banks smooth interest rate changes to enhance the stability of …

Financial derivatives and bank risk: evidence from eighteen developed markets

X Huan, A Parbonetti - Accounting and Business Research, 2019 - Taylor & Francis
We examine the relationship between equity risk and the use of financial derivatives with a
sample of 555 banks from eighteen developed markets from 2006 to 2015. Our main …

Interest-rate uncertainty, derivatives usage, and loan growth in bank holding companies

E Brewer III, S Deshmukh, TP Opiela - Journal of financial Stability, 2014 - Elsevier
We explore one channel through which interest-rate derivatives usage affects loan growth
positively in bank holding companies (BHCs). If interest-rate derivatives usage allows a BHC …

Derivatives as risk management and performance of agricultural banks

X Shen, V Hartarska - Agricultural Finance Review, 2013 - emerald.com
Purpose–The purpose of this paper is to estimate the impact of financial derivatives on
profitability in agricultural banks. Agricultural banks are new to the derivatives market and …

[图书][B] Corporate risk management

DH Chew - 2008 - degruyter.com
The theory of corporate risk management has changed a lot in the past 25 years. And so has
corporate practice, mainly in ways predicted by the theory. In the 1980s and well into the …