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題名:The Use of Derivatives as a Risk Management Instrument: Evidence from Indonesian Non-financial Firms
書刊名:International Journal of Business and Economics
作者:I Wayan Nuka Lantara
出版日期:2012
卷期:11:1
頁次:頁45-62
主題關鍵詞:DerivativesRisk managementHedging
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:0
  • 點閱點閱:27
期刊論文
1.Benson, K.、Oliver, B.(2004)。Management motivation for using financial derivatives in Australia。Australian Journal of Management,29,225-242。  new window
2.Bodnar, G. M.、Gebhardt, G.(1999)。Derivatives Usage in Risk Management by US and German Non-Financial Firms: A Comparative Survey。Journal of International Financial Management and Accounting,10,153-187。  new window
3.Nguyen, H.、Faff, R.(2002)。On the Determinants of Derivative Usage by Australian Companies。Australian Journal of Management,27(1),1-24。  new window
4.Guay, W.、Kothari, S. P.(2003)。How much do firms hedge with derivatives?。Journal of Financial Economics,70(3),423-461。  new window
5.Haushalter, G. David(2000)。Financing Policy, Basis Risk, and Corporate Hedging: Evidence from Oil and Gas Producers。The Journal of Finance,55(1),107-152。  new window
6.Borokhovich, K. A.、Brunarski, K. R.、Crutchley, C. E.、Simkins, B. J.(2004)。Board composition and corporate use of interest rate derivatives。The Journal of Financial Research,27,199-216。  new window
7.Byrd, J. W.、Hickman, K. A.(199210)。Do Outside Directors Monitor Managers? Evidence from Tender off Bids。Journal of Financial Economics,32(2),195-221。  new window
8.Marston, Richard C.、Hayt, Gregory S.、Bodnar, Gordon(1998)。1998 Wharton survey of financial risk management by US non-Financial Firms。Financial Management,27(4),70-91。  new window
9.Brown, Gregory W.(2001)。Managing Foreign Exchange Risk with Derivatives。Journal of Financial Economics,60(2/3),401-448。  new window
10.Core, John E.、Guay, Wayne R.、Kothari, S. P.(2002)。The economic dilution of employee stock options: Diluted EPS for valuation and financial reporting。The Accounting Review,77(3),627-652。  new window
11.Berkman, H.、Bradbury, M. E.(1996)。Empirical Evidence on the Corporate Use of Derivatives。Financial Management,25(2),5-13。  new window
12.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
13.Géczy, Christopher C.、Minton, Bernadette A.、Schrand, Catherine M.(1997)。Why Firms Use Currency Derivatives?。Journal of Finance,52(4),1323-1354。  new window
14.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
15.Froot, Kenneth A.、Scharfstein, David S.、Stein, Jeremy C.(1993)。Risk Management: Coordinating Corporate Investment and Financing Policies。Journal of Finance,48(5),1629-1658。  new window
16.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
17.Fama, Eugene F.、Jensen, Michael C.(1983)。Separation of ownership and control。The Journal of Law & Economics,26(2),301-325。  new window
18.Colquitt, L. L.、Hoyt, R. E.(1997)。Determinants of Corporate Hedging Behavior: Evidence from the Life Insurance Industry。Journal of Risk and Insurance,64(4),649-671。  new window
19.Fama, Eugene F.(1985)。What's Different about Banks?。Journal of Monetary Economics,15(1),29-39。  new window
20.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
21.Weisbach, Michael S.(1988)。Outside directors and CEO turnover。Journal of Financial Economics,20(1/2),431-460。  new window
22.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
其他
1.Bank Indonesia(2010)。Indonesian Financial Statistics。  new window
2.Brailsford, T. J., Heaney, R. A.and Oliver, B. R.(2003)。Practices and Attitudes to Derivatives Use in Australian Commonwealth Organisations。  new window
3.Carter, D. A. and Sinkey, J. F.(1998)。The Use of Interest Rate Derivatives by End-Users: The Case of Large Community Banks。  new window
4.De Ceuster, M., Flanagan, L., Hodgson, A. and Tahir, M. I.(2003)。Determinants of Derivative Usage in the Life and General Insurance Industry: The Australian Evidence。  new window
5.Elyasiani, E. and Goldberg, L. G.(2004)。Relationship Lending: A Survey of the Literature。  new window
6.Gay, G. D. and Nam, J.(1998)。Underinvestment Problem and Corporate Derivatives Use。  new window
7.Hakenes, H.(2004)。Banks as Delegated Risk Managers。  new window
8.Hardwick, P. and Adams, M.(1999)。The Determinants of Financial Derivatives Use in the United Kingdom Life Insurance Industry。  new window
9.Helland, E. and Sykuta, M.(2005)。ho's Monitoring the Monitor? Do Outside Directors Protect Shareholders' Interests?。  new window
10.Lantara, I. W. N.(2010)。A Survey on the Use of Derivatives in Indonesia。  new window
11., C., Ow-Yong, K. and Reynolds, M.(2001)。Derivatives Usage in UK Non-Financial Listed Companies。  new window
12.National Committee on Corporate Governance(2001)。Indonesia's Code for Good Corporate Governance。  new window
13.Nguyen, H. and Faff, R.(2003)。Further Evidence on the Corporate Use of Derivatives in Australia: The Case of Foreign Currency and Interest Rate Instruments。  new window
14.Prevost, A. K., Rose, L. C. and Miller, G.(2000)。Derivatives Usage and Financial Risk Management in Large and Small Economies: A Comparative Analysis。  new window
15.Schiozer, R. F. and Saito, R.(2009)。The Determinants of Currency Risk Management in Latin American Nonfinancial Firms。  new window
16.Sharma, S. D.(2003)。The Asian Financial Crisis: Crisis, Reform and Recovery。  new window
17.Shu, P. and Chen, H.(2003)。The Determinants of Derivatives Use: Evidence from Non-Financial Firms in Taiwan。  new window
18.Takao, A. and Lantara, I. W. N.(2009)。The Determinants of the Use of Derivatives in Japanese Insurance Companies。  new window
19.Wooldridge, J. M.(2009)。Introductory Econometrics: A Modern Approach。  new window
20.World Bank(2010)。World Bank Report on Indonesia Economic Quarterly: Continuity Amidst Volatility。  new window
21.Yosano, T. and Lantara, I. W. N.(2010)。Bank-Firm Relationship and the Use of Derivatives in Japan。  new window
22.Yu, E. S. H., Chin, I. C. H., Hang, H. F. Y. and Wai, G. L. C.(2001)。Managing Risk by Using Derivatives: The Case of Hong Kong Firms。  new window
 
 
 
 
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