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Risk Transfer Arrangements as a Hedging Device with Evidence from the Kuwaiti Dinar-British Pound Market. (2011). Moosa, Imad.
In: Review of Middle East Economics and Finance.
RePEc:bpj:rmeecf:v:7:y:2011:i:2:n:3.

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  1. Abor, J. (2005) Managing Foreign Exchange Risk Among Ghanaian Firms, Journal of Risk Finance, 6, 306-318.

  2. Allayannis, G., Ihrig, J. and Weston, J.P. (2001) Exchange Rate Hedging: Financial versus Operational Strategies, American Economic Review, 91, 391-395.

  3. Broll, U. and Wahl, J.E. (1998), Missing Risk Sharing Markets and the Benefits of Cross-Hedging in Developing Countries, Journal of Development Economics, 55, 56.

  4. Capstaff, J. and Marshall, A. (2005) International Cash Management and Hedging: A Comparison of UK and French Companies, Managerial Finance, 31, 18-34.
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  5. Carter, J. and Vickery, S.K. (1988) Managing Volatile Exchange Rates in International Purchasing, Journal of Purchasing and Materials Management, 24, 13-20.
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  6. Chang, E.C. and Wong, K.P. (2003) Cross-Hedging with Currency Options and Futures, Journal of Financial and Quantitative Analysis, 38, 555-574.

  7. Davies, D., Eckberg, C. and Marshall, A. (2006) The Determinants of Norwegian Exporters Foreign Exchange Risk Management, European Journal of Finance, 12, 217-240.

  8. Lien, D. and Moosa, I.A. (2004) A Bargaining Approach to Currency Collars, Research in International Business and Finance, 18, 229-236.

  9. McDonald, B. and Moosa, I.A. (2003) The Effectiveness of Risk Sharing Arrangements and Currency Collars as Hedging Devices, Journal of Accounting and Finance, 2, 69-79.
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  10. Moosa, I.A. (2003) International Financial Operations: Arbitrage, Hedging, Speculation, Financing and Investment, London: Palgrave.
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  11. Moosa, I.A. and McDonald, B. (2005) Operational Hedging as an Alternative to Financial Hedging in the Absence of Sophisticated Financial Markets, Economia Internazionale, 58, 241-254.

  12. Moosa: Risk Transfer Arrangements Published by De Gruyter, 2011 Brought to you by | Jose Manuel Barrueco/CitEc Authenticated Download Date | 12/12/16 4:52 PM Carter, J., Vickery, S.K. and D’Itri, M.P. (1993) Currency Risk Management Strategies for Contracting with Japanese Suppliers, International Journal of Purchasing and Materials Management, 29, 19-25.
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  13. Review of Middle East Economics and Finance, Vol. 7, No. 2 [2011], Art. 3 DOI: 10.2202/1475-3693.1247 Brought to you by | Jose Manuel Barrueco/CitEc Authenticated Download Date | 12/12/16 4:52 PM
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  14. Schwab, B. and Lusztig, P. (1978) Apportioning Foreign Exchange Risk Through the Use of Third Currencies: Some Questions on Efficiency, Financial Management, 7, 25-30.
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  54. 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., .
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