Tom Aabo

Aarhus University

Associate Professor

Fuglesangs Alle 4

DK-8210 Aarhus

Denmark

SCHOLARLY PAPERS

16

DOWNLOADS
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Top 14,886

in Total Papers Downloads

3,392

SSRN CITATIONS
Rank 29,186

SSRN RANKINGS

Top 29,186

in Total Papers Citations

7

CROSSREF CITATIONS

17

Scholarly Papers (16)

1.

Stakeholder Versus Shareholder Satisfaction in Corporate Risk Management

EFMA 2004 Basel Meetings Paper
Number of pages: 31 Posted: 30 Apr 2004
Tom Aabo
Aarhus University
Downloads 1,280 (15,827)

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Stakeholder / Shareholder satisfaction, corporate risk management, currency hedging

2.

Interaction between Real Options and Financial Hedging: Fact or Fiction in Managerial Decision-Making

Review of Financial Economics, Vol. 14, Nos. 3-4, pp. 353-369, 2005
Number of pages: 36 Posted: 10 Dec 2003
Tom Aabo and Betty J. Simkins
Aarhus University and Oklahoma State University - Stillwater - Department of Finance
Downloads 520 (55,642)
Citation 4

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Exchange rate exposure management, Financial hedging, Operational hedging, Real options

3.
Downloads 482 (61,168)
Citation 1

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Exchange rate exposure management, Financial hedging, Foreign debt

4.

Idiosyncratic Volatility: An Indicator of Noise Trading?

Number of pages: 45 Posted: 21 Mar 2007 Last Revised: 12 Jun 2016
Aarhus University, University of South Florida and University of South Florida
Downloads 377 (82,047)
Citation 1

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Idiosyncratic volatility, Market volatility, Equity mispricing, Market efficiency

5.

Integrated Foreign Exchange Risk Management: The Role of Import in Medium-Sized, Manufacturing Firms

Number of pages: 45 Posted: 20 Nov 2008 Last Revised: 02 Dec 2009
Tom Aabo, Esben Høg and Jochen Kuhn
Aarhus University, Aalborg University - Department of Mathematical Sciences and A.P.Moller-Maersk
Downloads 228 (140,703)
Citation 3

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Integrated Foreign Exchange Risk Management, Import, Medium-Sized Firms

6.

Corporate Foreign Exchange Speculation and Integrated Risk Management

Managerial Finance, Forthcoming
Number of pages: 45 Posted: 02 Jun 2012
Aarhus University, University of South Florida and Novozymes A/S
Downloads 119 (245,775)

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Exchange rate exposure management, Selective hedging, Active speculation, Non-finance departmental involvement, Integrated risk management

7.

In or Out: The Effect of Euro Membership on the Exercise of Real Options

Number of pages: 57 Posted: 25 Jun 2007
Tom Aabo and Christos Pantzalis
Aarhus University and University of South Florida
Downloads 108 (263,323)

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Euro membership, Real options, Long-term effect, Manufacturing firms

8.

The Impact of Family Ownership on Currency Speculation: The Case of Danish Non-Financial Firms

Number of pages: 25 Posted: 01 Mar 2005
Tom Aabo
Aarhus University
Downloads 104 (270,330)
Citation 1

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Currency speculation, risk management, ownership structure, corporate governance

9.

The German Humpback: Internationalization and Foreign Exchange Hedging

Number of pages: 52 Posted: 20 Dec 2013
Tom Aabo and Rasmus Ploeen
Aarhus University and Grundfos Management A/S
Downloads 57 (382,857)

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Internationalization, Foreign exchange hedging, Diversification, Cash flow matching, Operational flexibility

10.

Game Hoarding in Europe: Stock-Price Consequences of Local Bias?

Paris December 2010 Finance Meeting EUROFIDAI - AFFI
Number of pages: 37 Posted: 22 Oct 2010 Last Revised: 01 Jun 2012
Aarhus University, University of South Florida and Novo Nordisk
Downloads 50 (406,303)
Citation 4

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Local bias, Only-game-in-town effect, Game-hoarding effect, Europe

11.

Euro Membership as a Real Option Trigger: An Empirical Study of EU15 Manufacturing Firms

Journal of Applied Corporate Finance, Vol. 19, No. 4, pp. 107-114, Fall 2007
Number of pages: 10 Posted: 19 Dec 2007
Tom Aabo and Christos Pantzalis
Aarhus University and University of South Florida
Downloads 26 (510,528)
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12.

Can the CFO Trust the FX Exposure Quantification from a Stock Market Approach?

Number of pages: 72 Posted: 01 Dec 2009
Tom Aabo and Danielle Brodin
Aarhus University and Danisco A/S
Downloads 25 (516,155)

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Exchange rate exposure quantification, Stock market approach, Observation frequency, Market index, Scandinavian non-financial firms

13.

The Importance of Corporate Foreign Debt in Managing Exchange Rate Exposures in Non-Financial Companies

European Financial Management, Vol. 12, No. 4, pp. 633-649, September 2006
Number of pages: 17 Posted: 11 Aug 2006
Tom Aabo
Aarhus University
Downloads 16 (570,805)
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14.

Political Interference and Stock Price Consequences of Local Bias

Financial Review, Vol. 51, Issue 2, pp. 151-190, 2016
Number of pages: 40 Posted: 11 Apr 2016
Aarhus University, University of South Florida and University of South Florida
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political influence, local bias, segmented markets

15.

Foreign Debt Usage in Non‐Financial Firms: A Horse Race between Operating and Accounting Exposure Hedging

European Financial Management, Vol. 21, Issue 3, pp. 590-611, 2015
Number of pages: 22 Posted: 02 Jun 2015
Aarhus University, Novozymes A/S and Queen Mary University of London
Downloads 0 (698,204)
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exchange rate exposure management, foreign debt, foreign assets, foreign subsidiaries, accounting exposure

16.

The Rise and Evolution of the Chief Risk Officer: Enterprise Risk Management at Hydro One

Journal of Applied Corporate Finance, Vol. 17, No. 3. pp. 62-75, 2005
Posted: 24 Nov 2004
Aarhus University, Hydro One Inc. and Oklahoma State University - Stillwater - Department of Finance

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Enterprise Risk Management, Chief Risk Officer, Delphi Method, Risk Map, Corporate Governance