Browsen in EconStor gesamt nach Autor:innen Jankensgård, Håkan
Zeige Ergebnisse 1 bis 4 von 4
Erscheinungsjahr | Titel | Autor:innen |
2005 | Exposure-based Cash-Flow-at-Risk under Macroeconomic Uncertainty | Andrén, Niclas; Jankensgård, Håkan; Oxelheim, Lars |
2010 | Exposure-Based Cash-Flow-at-Risk for Value-Creating Risk Management under Macroeconomic Uncertainty | Andrén, Niclas; Jankensgård, Håkan; Oxelheim, Lars |
2015 | Why FX Risk Management is broken: And what boards need to know to fix it | Jankensgård, Håkan; Alviniussen, Alf; Oxelheim, Lars |
2019 | Does managerial power increase selective hedging? Evidence from the oil and gas industry | Jankensgård, Håkan |