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題名:檢測採用不同國際化策略之企業使用衍生性金融商品的動機與效果
書刊名:證券市場發展季刊
作者:黎明淵 引用關係周采薇
作者(外文):Li, Leon Ming-yuanChou, Tsai-wei
出版日期:2005
卷期:17:3=67
頁次:頁31-55
主題關鍵詞:多國籍企業衍生性金融商品海外籌資財務行為學Multinational corporationsFinancial derivativesOversea financingFinancial behavior
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(7) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:7
  • 共同引用共同引用:0
  • 點閱點閱:51
期刊論文
1.Smith, Clifford W.、Myers, David(1982)。Corporate Insurance and the Underinvestment Problem。The Journal of Risk and Insurance,54(1),45-54。  new window
2.Hentschel, Ludger、Kothari, S. P.(2001)。Are corporations reducing or taking risks with derivatives?。Journal of Financial and Quantitative Analysis,36(1),93-118。  new window
3.Fok, Robert C. W.、Carroll, Carolyn、Chiou, Ming C.(1997)。Determinants of corporate hedging and derivatives: A revisit。Journal of Economics & Business,49(6),569-585。  new window
4.Allen, L.、Pantzalis, C.(1996)。Valuation of the Operating Flexibility of Multinational Corporations。Journal of International Business Studies,27(4),633-653。  new window
5.Berkman, H.、Bradbury, M. E.(1996)。Empirical Evidence on the Corporate Use of Derivatives。Financial Management,25(2),5-13。  new window
6.Block, Stanley B.、Gallagher, Timothy J.(1986)。The Use of Interest Rate Futures and Options by Corporate Financial Managers。Financial Management,15,73-78。  new window
7.Bondnar, Gordon M.、Hayt, Gregory S.、Marston, Richard C.、Smithson, Charles W.(1995)。Wharton Survey of Derivatives Usage by U.S. Non-Financial Firms。Financial Management,24(2),104-114。  new window
8.Buckley, Peter J.、Casson, Mark C.(1998)。Models of the Multinational Enterprise。Journal of International Business Studies,29(1),21-44。  new window
9.Dolde, W.(1993)。The trajectory of corporate financial risk management。Journal of Applied Corporate Finance,6(3),33-41。  new window
10.Géczy, Christopher C.、Minton, Bernadette A.、Schrand, Catherine M.(1997)。Why Firms Use Currency Derivatives?。Journal of Finance,52(4),1323-1354。  new window
11.Guay, Wayne R.(1999)。The Impact of Derivatives on Firm Risk: An Empirical Examination of New Derivative Users。Journal of Accounting & Economics,26(1-3),319-351。  new window
12.Mian, S. L.(1996)。Evidence on Corporate Hedging Policy。Journal of Financial and Quantitative Analysis,31(3),419-439。  new window
13.Tufano, P.(1996)。Who Manage Risk? An Empirical Examination of Risk Management Practices in the Gold Mining Industry。Journal of Finance,51(4),1097-1137。  new window
14.Barclay, Michael J.、Smith, Clifford W. Jr.(1995)。The Maturity Structure of Corporate Debt。Journal of Finance,50(2),609-631。  new window
15.Smith, Clifford W.、Stulz, René M.(1985)。The determinants of firms' hedging policies。Journal of Financial and Quantitative Analysis,20(4),391-405。  new window
16.Gaver, Jennifer J.、Gaver, Kenneth M.(1993)。Additional evidence on the association between the investment opportunity set and corporate financing, dividend, and compensation policies。Journal of Accounting and Economics,16(1-3),125-160。  new window
17.Myers, Stewart C.(1977)。Determinants of Corporate Borrowing。Journal of Financial Economics,5(2),147-175。  new window
18.Smith, Clifford W. Jr.、Watts, Ross L.(1992)。The Investment Opportunity Set and Corporate Financing, Dividend, and Compensation Policies。Journal of Financial Economics,32(3),263-292。  new window
19.Nance, Deana R.、Smith, Clifford W. Jr.、Smithson, Charles W.(1993)。On the determinants of corporate hedging。Journal of Finance,48(1),267-284。  new window
20.Kought, B.、Kulatilaka, N.(1995)。Operating flexibility, global manufacturing, and the option value of a multinational network。Management Science,40(1),123-139。  new window
21.Logue, E. E.(1995)。When Theory Fails: Globalization as a Response to the (Hostile) Market for Foreign Exchange。Journal of Applied Corporate Finance,8,39-48。  new window
會議論文
1.Pantzalis, C.、Simkins, B. J.、Laux, P.(1999)。Operational hedges and the foreign exchange exposure of US mutinational corporation。Financial Management Association Annual Meeting。  new window
圖書
1.Schwartz, R. J.、Smith, C. W. Jr.(1993)。Advanced Strategies in Financial Risk Management。New York:New York Institute of Finance。  new window
圖書論文
1.Kogut, B.(1983)。Foreign Direct Investment as a Sequential Process。The Multinational Corporations in the 1980s。Cambridge, MA:MIT Press。  new window
 
 
 
 
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