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Exchange-Rate Hedging: Financial versus Operational Strategies. (2001). Ihrig, Jane ; Weston, James P. ; Allayannis, George.
In: American Economic Review.
RePEc:aea:aecrev:v:91:y:2001:i:2:p:391-395.

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  2. Explaining the diversity in findings on derivatives uses and firm value: Insights from firms commodity futures use. (2025). Chu, Yiyun ; Yang, LI ; Shao, Lili.
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  3. Optimal investment with insurable background risk and nonlinear portfolio allocation frictions. (2025). Serrano, Rafael ; Ramirez, Hugo E.
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  4. Does the hedge pay? Assessing natural hedging’s role in firm valuation under varying macroeconomic conditions. (2024). Rajendran, Madhumathi ; Saharan, Anureet.
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  6. Do corporate hedge theories explain the natural hedge strategies of firms? A meta-analytic review. (2024). Rajendran, Madhumathi ; Saharan, Anureet.
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  12. Promoting financial stability of oil producers: Operational vs. financial hedging. (2023). Lu, You ; Fang, Yiwei ; Kang, Sang Baum.
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  17. Invoicing Currency and Financial Hedging. (2022). Mejean, Isabelle ; Martin, Julien ; Lyonnet, Victor.
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  18. Matched trade at the firm level and the micro origins of international business‐cycle comovement. (2022). Sanctuary, Mark ; Friberg, Richard.
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  22. Data-driven financial and operational risk management: Empirical evidence from the global tramp shipping industry. (2022). Bai, Xiwen ; Cheng, Liangqi ; Iris, Aatay.
    In: Transportation Research Part E: Logistics and Transportation Review.
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  24. Board attributes, hedging activities and exchange rate risk: Multi-country firm-level evidence. (2022). Sikarwar, Ekta.
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  25. The real effect of foreign exchange hedging on corporate innovation. (2021). Zhang, Lei ; Yang, Chuyi ; Xia, Chongwu.
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  28. Financial hedging and corporate investment. (2021). Chen, Zhong ; Zeng, Yeqin ; Alexandridis, George.
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  29. Exchange rate exposure and its determinants in China. (2021). HE, QING ; Liu, Junyi ; Zhang, CE.
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  38. Dollar borrowing, firm-characteristics, and FX-hedged funding opportunities. (2020). Serena Garralda, Jose Maria ; Mayordomo, Sergio ; Gambacorta, Leonardo.
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  39. Dollar borrowing, firmcharacteristics, and FX-hedged funding opportunities. (2020). Serena Garralda, Jose Maria ; Mayordomo, Sergio ; Gambacorta, Leonardo.
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  40. The Nature of Exchange Rate Movements and Exchange Rate Exposure: The Bangladesh Case. (2019). Lee, Ki-Dong ; Choi, Sunghee.
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  41. Corporate risk management practices and firm value in an emerging market: a mixed methods approach. (2019). Demirel, Pelin ; Danisman, Gamze Ozturk.
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  42. The relative effect of operational hedging on airline operating costs. (2019). Merkert, Rico ; Swidan, Hassan.
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  43. What drives financial hedging? A meta-regression analysis of corporate hedging determinants. (2019). Hang, Markus ; Geyer-Klingeberg, Jerome ; Rathgeber, Andreas W.
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  44. Corporate hedging and speculation with derivatives. (2019). Bartram, Söhnke.
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  45. Matched trade at the firm level and the micro origins of international business-cycle comovement. (2019). Sanctuary, Mark ; Friberg, Richard.
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  46. Corporate Risk Management, Firms€™ Characteristics and Capital Structure: Evidence from Bombay Stock Exchange (BSE) Sensex Companies. (2018). .
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  49. Operational and financial hedging: Evidence from export and import behavior. (2018). Kuzmina, Olga ; Kuznetsova, Olga.
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  50. Exchange Rate Exposure and Firm Dynamics. (2018). Varela, Liliana ; Salomao, Juliana.
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  57. Offshore activities and financial vs operational hedging. (2017). Moon, Katie S ; Hoberg, Gerard.
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  58. Operational and Financial Hedging: Evidence from Export and Import Behavior. (2017). Kuzmina, Olga ; Kuznetsova, Olga.
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  59. Financial Hedging and Firm Performance: Evidence from Cross€ border Mergers and Acquisitions. (2017). Chen, Zhong ; Zeng, Yeqin ; Han, BO.
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  60. Operational and Financial Hedging: Evidence from Export and Import Behavior. (2017). Kuzmina, Olga ; Kuznetsova, Olga.
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  61. Relationship between initiative risk management and firm value: evidence from Chinese financial listed companies. (2016). Li, Zhuwei ; Wang, Yucheng ; Yu, Lijie.
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  62. Operational Hedging of Exchange Rate Risks. (2016). Tscheke, Jan.
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  69. Fuel hedging, operational hedging and risk exposure — Evidence from the global airline industry. (2014). lucey, brian ; Berghofer, Britta .
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  71. A re-examination of exposure to exchange rate risk: The impact of earnings management and currency derivative usage. (2013). Shiah-Hou, Shin-Rong ; Chang, Feng-Yi ; Hsin, Chin-Wen.
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  72. Crossing the lines: The conditional relation between exchange rate exposure and stock returns in emerging and developed markets. (2012). Bodnar, Gordon ; Bartram, Söhnke.
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  73. Understanding Brazilian companies foreign exchange exposure. (2012). rossi, jose.
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  74. Investigating Exchange Rate Exposure of Bank Shares: Empirical Evidence From ISE. (2012). Kandir, Serkan Yilmaz ; Erismis, Ahmet .
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  75. Why Turkish Securities Firms Have Not Transformed to Full Service Investment Banks?: An Assessment For the Near Future of the Turkish Securities Firms Industry. (2012). Coskun, Yener.
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  76. Internal Determinants of Profitability in Turkish Banking Sector. (2012). Ban, Unsal ; Kilic, Saim ; Demirgunes, Kartal ; Alp, Ali.
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  77. Risk management in international supply chains: the case of natural hedging. (2011). Hofmann, Erik.
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  78. How Do Financial Firms Manage Risk? Unraveling the Interaction of Financial and Operational Hedging. (2011). Hankins, Kristine.
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  79. Real exchange rates and time-varying trade costs. (2011). Peel, David ; Pavlidis, Efthymios ; Paya, Ivan.
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  80. Gold and the US dollar: Hedge or haven?. (2011). Joy, Mark.
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  81. Risk Transfer Arrangements as a Hedging Device with Evidence from the Kuwaiti Dinar-British Pound Market. (2011). Moosa, Imad.
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  82. Securities laws in the host countries and the capital structure of US multinationals. (2010). Mishra, Dev ; Tannous, George.
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  83. Resolving the exposure puzzle: The many facets of exchange rate exposure. (2010). Bartram, Söhnke ; Brown, Gregory W. ; Minton, Bernadette A..
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  85. Divested Interests: Globalization and the New Politics of Exchange Rates. (2010). Knight, Sarah Cleeland .
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  86. Investigating Exchange Rate Exposure of Bank Shares: Empirical Evidence From ISE. (2010). Kandir, Serkan Yilmaz ; Erismis, Ahmet .
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  87. Why Turkish Securities Firms Have Not Transformed to Full Service Investment Banks?: An Assessment For the Near Future of the Turkish Securities Firms Industry. (2010). coskun, yener.
    In: Istanbul Stock Exchange Review.
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  88. Internal Determinants of Profitability in Turkish Banking Sector. (2010). Ban, Unsal ; Kilic, Saim ; Demirgunes, Kartal ; Alp, Ali.
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  89. Microeconomic Risk Management and Macroeconomic Stability. (2009). Rothig, Andreas.
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  90. Resolving the Exposure Puzzle: The Many Facets of Exchange Rate Exposure. (2009). Bartram, Söhnke ; Brown, Gregory W. ; Minton, Bernadette.
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  91. Foreign Currency Derivatives versus Foreign Currency Debt and the Hedging Premium. (2009). Clark, Ephraim ; Judge, Amrit.
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  92. Increasing Derivatives Market Activity in Emerging Markets and Exchange Rate Exposure. (2008). Guldi, Melanie ; Aysun, Uluc.
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  93. Crossing the Lines: The Conditional Relation between Exchange Rate Exposure and Stock Returns in Emerging and Developed Markets. (2008). Bodnar, Gordon ; Bartram, Söhnke.
    In: MPRA Paper.
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  94. Crossing the Lines: The Conditional Relation between Exchange Rate Exposure and Stock Returns in Emerging and Developed Markets. (2008). Bodnar, Gordon ; Bartram, Söhnke.
    In: MPRA Paper.
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  95. Offshore Bidding and Currency Futures. (2008). Firoozi, Fathali ; Lien, Donald.
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  96. Exchange Rate Exposure, Foreign Currency Debt and the Use of Derivatives: Evidence from Brazil. (2008). Junior, Jose L. R., .
    In: Insper Working Papers.
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  97. Hedging and invoicing strategies to reduce exchange rate exposure - a euro-area perspective. (2008). Björn Döhring, .
    In: European Economy - Economic Papers 2008 - 2015.
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  98. Exchange Rate Exposure, Foreign Currency Debt and the Use of Derivatives: Evidence from Brazil. (2008). Rossi, Josae Luiz.
    In: Business and Economics Working Papers.
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  99. Exchange rate fluctuations, financing constraints, hedging, and exports: Evidence from firm level data. (2007). Ryoo, Heajin ; Dekle, Robert.
    In: Journal of International Financial Markets, Institutions and Money.
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  100. Testing for Balance Sheet Effects in Emerging Market Countries. (2006). Aysun, Uluc.
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  101. Foreign direct investment and forward hedging. (2006). Wong, Kit Pong.
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  102. Foreign exchange risk exposure: Survey and suggestions. (2006). Verschoor, Willem ; Verschoor, Willem F. C., ; Muller, Aline.
    In: Journal of Multinational Financial Management.
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  103. Exchange Rate Fluctuations, Financing Constraints, Hedging, and Exports: Evidence from Firm Level Data. (2004). Ryoo, Heajin ; Dekle, Robert.
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  104. Transaction versus economic exposure: which has greater cash flow consequences?. (2003). Mauer, Laurence J. ; Martin, Anna D..
    In: International Review of Economics & Finance.
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  105. Foreign-denominated debt and foreign currency derivatives: complements or substitutes in hedging foreign currency risk?. (2003). Elliott, William ; Huffman, Stephen P. ; Makar, Stephen D..
    In: Journal of Multinational Financial Management.
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  106. Exchange Rate Pegs and Foreign Exchange Exposure in East Asia. (2002). Popper, Helen ; Parsley, David.
    In: International Finance.
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  107. Exchange Rate Policy in Chile: From the Band to Floating and Beyond. (2002). Tapia, Matias ; Morande, Felipe.
    In: Working Papers.
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  108. Foreign Exchange Exposure and Exchange Rate Arrangements in East Asia. (2002). Popper, Helen ; Parsley, David.
    In: Working Papers.
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  109. Exchange Rate Policy in Chile: From the Band to Floating and Beyond. (2002). Tapia, Matias ; Morandé, Felipe.
    In: Working Papers Central Bank of Chile.
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  110. Exchange Rate Policy in Chile: the Abandonment of the Band and the Floating Experience. (2002). Tapia, Matias ; Morandé, Felipe ; Matias Tapia G., ; Felipe Morande L., .
    In: Journal Economía Chilena (The Chilean Economy).
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