Identifying and quantifying exposures
|
2005 |
Stulz, René M. |
A practical framework for corporate exposure management
|
2005 |
Bauman, Joseph |
Issues and trends in corporate risk management
|
2005 |
Shimko, David |
Re-engineering corporate finance
|
2005 |
Brown, Gregory W. |
1998 Wharton survey of financial risk management by US non-financial firms
|
2005 |
Bodnar, Gordon M. |
Trimming risk from Microsoft's corporate tree
|
2005 |
Callinicos, Brent |
Metallgesellschaft and the economics of synthetic storage
|
2005 |
Culp, Christopher L. |
Strategic risk management
|
2005 |
Smithson, Charles W. |
Corporate risk management: theory and practice
|
2005 |
Smith, Clifford W. |
Financial innovation and economic performance
|
2005 |
Merton, Robert C. |
A framework for risk management
|
2005 |
Froot, Kenneth A. |
Real options and corporate risk management
|
2005 |
Triantis, Alexander J. |
Interest rate swaps and corporate financing choices
|
2005 |
Titman, Sheridan |
Using credit derivatives to manage counterparty credit risk
|
2005 |
Toft, Klaus Bjerre |
Value-at-risk: uses and abuses
|
2005 |
Culp, Christopher L. |
How mid-sized companies manage risk
|
2005 |
Blake, Marshall |
An integrated approach to corporate risk management
|
2005 |
Shapiro, Alan C. |
Rethinking risk management
|
2005 |
Stulz, René M. |
Agency costs of corporate risk management
|
2005 |
Tufano, Peter |
The nature and causes of foreign currency exposure
|
2005 |
Pringle, John J. |