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This paper investigates the relationship between the Japanese firms’ exposure to the exchange rate risk and risk management, such as choice of invoicing currency, and financial and operational hedge. The firm’s exposure to the exchange rate risk is estimated by co-movements of the stock...
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Introduction: A mere decade ago Japan’s financial system, and especially its banking system, was not only the largest … country. Today presents a completely different picture. Japan’s financial system is weak and in disarray. Banks no longer rank … among the world’s top ten, and their credit ratings have declined dramatically. Two of Japan’s top 21 banks have already …
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execution of monetary and financial policies in Japan within a broad technical, political, and institutional context. Their … consider theoretical arguments and empirical evidence for each topic discussed. Topics covered include Japan's low inflation … central banking; Japan's "bubble economy" of the 1980s; and the causes, magnitude, and regulatory responses to Japan's banking …
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Japan's financial institutions and policy underwent remarkable change in the past decade. The country began the 1990s … structure and reforms at the Bank of Japan in light of the challenges facing the Japanese economy. These challenges range from …
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