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題名:外匯風險迷思現象:臺灣上市公司之實證研究
書刊名:財務金融學刊
作者:林育志 引用關係
作者(外文):Lin, Luke
出版日期:2010
卷期:18:3
頁次:頁33-62
主題關鍵詞:外匯風險資本市場法現金流量法Exchange rate exposureCapital market approachCash flows approach
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(1) 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:1
  • 共同引用共同引用:11
  • 點閱點閱:77
期刊論文
1.Chow, E.、Lee, W. Y.、Solt, M. E.(1997)。The economic exposure of U.S. multinational firms。Journal of Financial Research,20(2),191-210。  new window
2.Allayannis, G.、Ofek, E.(2001)。Exchange rate exposure, hedging, and the use of foreign currency derivatives。Journal of International Money & Finance,20(2),273-296。  new window
3.高櫻芬、施衍礽(20020500)。公司價值與匯率變動之間的關係--臺灣上市公司之實證研究。風險管理學報,4(1),19-45。new window  延伸查詢new window
4.張紹基、蘇松齡(20011200)。臺灣出口廠商面臨的匯率風險。企業管理學報,51,87-108。new window  延伸查詢new window
5.Martin, A. D.、Mauer, L. J.(2005)。A Note on Common Methods Used to Estimate Foreign Exchange Exposure。Journal of International Financial Markets, Institutions & Money,15(2),125-140。  new window
6.Muller, A.、Verschoor, W. F. C.(2006)。European Foreign Exchange Risk Exposure。European Financial Management,12(2),195-220。  new window
7.Pritamani, Mahesh D.、Shome, Dilip K.、Singal, Vijay(2004)。Foreign Exchange Exposure of Exporting and Importing Firms。Journal of Banking & Finance,28(7),1697-1710。  new window
8.Prasad, A. M.、Choi, J. J.(1995)。Exchange risk sensitivity and its determinants: A firm and industry analysis of U. S. multinationals。Financial Management,24(3),77-88。  new window
9.藍麗惠、廖源星、林育志(20071000)。臺灣金融機構之外匯風險。臺灣經濟預測與政策,38(1),127-151。new window  延伸查詢new window
10.董澍琦、楊聲勇、紀妤瑩(20020900)。臺灣多國籍企業外匯風險曝露之研究。亞太經濟合作評論,9,36-49。  延伸查詢new window
11.Chamberlain, Sandra、Howe, John S.、Popper, Helen(1997)。The exchange rate exposure of U.S. and Japanese banking institutions。Journal of Banking and Finance,21(6),871-892。  new window
12.周麗娟、林靖中、陳勝源(20031200)。未預期匯率變動對股票報酬率及波動性之影響。中山管理評論,11(4),613-639。new window  延伸查詢new window
13.Bartov, Eli、Bodnar, Gordon M.(1994)。Firm Valuation, Earnings Expectations, and the Exchange-rate Exposure Effect。The Journal of Finance,49(5),1755-1785。  new window
14.Jorion, P.(1990)。The Exchange-Rate Exposure of U. S. Multinationals。Journal of Business,63(3),331-345。  new window
15.Burgstahler, D.、Daley, L. A.、Bowen, R. M.(1987)。The Incremental Information Content of Accrual Versus Cash Flows。The Accounting Review,62(4),723-747。  new window
16.Bodnar, Gordon M.、Gentry, William M.(1993)。Exchange rate exposure and industry characteristics: Evidence from Canada, Japan and USA。Journal of International Money and Finance,12(1),29-45。  new window
17.He, Jia、Ng, Lilian K.(1998)。The Foreign Exchange Exposure of Japanese Multinational Corporations。The Journal of Finance,53(2),733-753。  new window
18.Adler, M. and D. Simon,(1986)。Exchange risk surprises in international portfolios。Journal of Portfolio Management,12(2),44-53。  new window
19.Bartram, S. and G. Bodnar,(2007)。The exchange rate exposure puzzle。Managerial Finance,33(9),642-666。  new window
20.Bartram, S., G. Brown, and B. Minton,(2010)。Resolving the exposure puzzle: the many facets of exchange rate exposure。Journal of Financial Economics,95(2),148-173。  new window
21.Brown, L.(1993)。Earnings forecasting research: its implications for capital market research。International Journal of Forecasting,9(3),295-320。  new window
22.Choi, J. J.、Kim, Y. C.(2003)。The Asian exposure of U.S. firms: operational and risk management strategies。Pacific-Basin Finance Journal,11(2),121-138。  new window
23.Dewenter, K., R. Higgins, and T. Simin,(2005)。Can event study methods solve the currency exposure puzzle?。Pacific-Basin Finance Journal,13(2),119-144。  new window
24.El-Masry, A. and O. Abdel-Salam,(2007)。Exchange rate exposure: do size and foreign operations matter?。Managerial Finance,33(9),741-765。  new window
25.Li, D.,、F. Moshirian,、T. Wee,、E. Wu,(2009)。Foreign exchange exposure: evidence from the U.S. insurance industry。Journal of International Financial Markets, Institutions & Money,19(2),306-320。  new window
26.Pantzalis, C., B. Simkins, and P. Laux,(2001)。Operational hedges and the foreign exchange exposure of U.S. multinational corporations。Journal of International Business Studies,32(4),793-812。  new window
27.Parsley, D.、Popper, H.(2006)。Exchange rate pegs and foreign exchange exposure in East and South East Asia。Journal of International Money and Finance,25(6),992-1009。  new window
28.Schena, P.(2006)。Measuring and managing the foreign exchange exposure of Chinese companies。International Finance Review,7,285-306。  new window
29.Walsh, E.(1994)。Operating income, exchange rate changes, and the value of the firm: an empirical analysis。Journal of Accounting,9(4),703-724。  new window
會議論文
1.Atsawasumrarn, S., T. Suwannoi, and J. Connelly,(2004)。Exchange rate exposure of multinational firms in the stock exchange of Thailand。  new window
研究報告
1.Jongen, R., A. Muller, and W. Verschoor,(2007)。Using survey data to resolve the exchange risk exposure puzzle: evidence from US. multinational firms。  new window
 
 
 
 
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