Fuglesangs Alle 4
DK-8210 Aarhus
Denmark
Aarhus University
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Stakeholder / Shareholder satisfaction, corporate risk management, currency hedging
Exchange rate exposure management, Financial hedging, Foreign debt
Exchange rate exposure management, Financial hedging, Operational hedging, Real options
Idiosyncratic volatility, Market volatility, Equity mispricing, Market efficiency
Integrated Foreign Exchange Risk Management, Import, Medium-Sized Firms
Behavioral corporate finance, CEO narcissism, corporate acquisitions
Exchange rate exposure management, Selective hedging, Active speculation, Non-finance departmental involvement, Integrated risk management
CEO personality traits, managerial ability, strategic flexibility, real options, corporate performance
Behavioral corporate finance, CEO gender, corporate social responsibility, ESG scores
Euro membership, Real options, Long-term effect, Manufacturing firms
Currency speculation, risk management, ownership structure, corporate governance
Behavioral corporate finance, CEO overconfidence, CEO incentive compensation, corporate risk
Behavioral Corporate Finance, Corporate Risk, CEO Narcissism, Narcissistic Supply
Behavioral corporate finance, CEO narcissism, CEO compensation, media coverage
Internationalization, Foreign exchange hedging, Diversification, Cash flow matching, Operational flexibility
Local bias, Only-game-in-town effect, Game-hoarding effect, Europe
Exchange rate exposure quantification, Stock market approach, Observation frequency, Market index, Scandinavian non-financial firms
Behavioral corporate finance, CEO extraversion, Mergers & Acquisitions, Geographical dispersion
Exchange rate exposure management; financial hedging; foreign debt