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This paper presents a survey on the risk management function and the usage of hedging instruments by Italian non-financial firms. The objective is to measure how firms manage the following risks: Exchange-foreign, Interest rate, Energetic, Commodity, Equity, Counter-party, Operational, Country....
Persistent link: https://www.econbiz.de/10012749960
This experimental study aims to clarify to what extent and in which direction investors react to CSR (Corporate Social Responsibility) initiatives meant to upgrade the ethical standards of firms beyond the minimal requirements of law. Subjects in the laboratory were invited to invest their...
Persistent link: https://www.econbiz.de/10008565559
This paper examines the extent to which the dollar returns of stocks, dual listed on the domestic market and on the US market, as American Depository Receipts (ADRs), capture the fluctuations of both markets. Since 1989 there has been phenomenal growth in ADR offerings from several countries....
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This paper examines the transmission of information from German and the U.S. markets to domestic markets using daily price and volume data of 264 stocks from 26 countries that are traded in their home country and cross-listed outside their home market as depository receipts (DRs); in the German...
Persistent link: https://www.econbiz.de/10008521309
This Forum aims to systematically describe and analyse the evolution of national financial systems within the EU over the past three decades. It analyses the processes of financialisation that have dominated this period as well as the causes and consequences of the financial crisis from the...
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