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On the Corporate Demand for Insurance.. (1982). Smith, Clifford W ; Mayers, David .
In: The Journal of Business.
RePEc:ucp:jnlbus:v:55:y:1982:i:2:p:281-96.

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  1. Corporate governance and corporate social responsibility: Evidence from directors and officers liability insurance. (2024). Treepongkaruna, Sirimon ; Liu, Zhangxin ; Ling, Shixian ; Xia, Hui.
    In: Corporate Social Responsibility and Environmental Management.
    RePEc:wly:corsem:v:31:y:2024:i:4:p:3006-3030.

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  2. Building Business Resilience to Disasters. (2024). Sekiguchi, Kunio ; Sawada, Yasuyuki ; Nakata, Hiroyuki ; Izumi, Yutaro.
    In: CIRJE F-Series.
    RePEc:tky:fseres:2024cf1223.

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  3. Performance of financial hedging and earnings management under diverse corporate information quality. (2024). Shiah-Hou, Shin-Rong ; Chang, Feng-Yi ; Hsin, Chin-Wen.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:91:y:2024:i:c:p:782-810.

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  4. Do ESG disclosures mitigate investors’ reaction on mining disasters? Evidence from Brazil. (2024). Feria-Dominguez, Jose Manuel ; Fdez-Galiano, Ines Merino.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:95:y:2024:i:c:p:256-267.

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  5. Do foreign currency risk management strategies increase value in family business?. (2024). Hussain, Nazim ; Mefteh-Wali, Salma.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:93:y:2024:i:c:s1057521924000838.

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  6. Capital expenditures, corporate hedging and firm value. (2023). Ullah, Farid ; Kim, Ja Ryong ; Irfan, Muhammad.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:87:y:2023:i:c:p:360-366.

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  7. Adverse selection and moral hazard in corporate insurance markets: Evidence from the 2011 Thailand floods. (2023). Sekiguchi, Kunio ; Sawada, Yasuyuki ; Nakata, Hiroyuki ; Adachi, Daisuke.
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:205:y:2023:i:c:p:376-386.

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  8. Currency carry trades, risk management, and firm value: Evidence from Korean banking industry. (2023). Kim, Sungjae Francis.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:88:y:2023:i:c:s104244312300118x.

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  9. Firm performance & effective mitigation of adverse business scenarios. (2023). Sun, Jerry ; Pandher, Gurupdesh.
    In: Global Finance Journal.
    RePEc:eee:glofin:v:58:y:2023:i:c:s1044028323000844.

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  10. Risk-sharing function in internal capital markets: Evidence from intragroup reinsurance activities. (2023). Shiu, Yung-Ming ; Hsiao, Ching-Yuan.
    In: International Review of Financial Analysis.
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  11. Determinants and real effects of joint hedging: An empirical analysis of US oil and gas producers. (2023). Dionne, Georges ; Mnasri, Mohamed ; el Hraiki, Rayane.
    In: Energy Economics.
    RePEc:eee:eneeco:v:124:y:2023:i:c:s0140988323002992.

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  12. Executive compensation and corporate risk management. (2023). Eckles, David L ; Carson, James M ; Yun, Jiyeon.
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:90:y:2023:i:2:p:521-557.

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  13. .

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  14. Organisational structure, corporate governance and reinsurance decisions in the U.S. property-liability insurance industry. (2022). Jin, Licheng ; Han, Sangyong ; Lai, Gene ; Ho, Chia-Ling.
    In: The Geneva Papers on Risk and Insurance - Issues and Practice.
    RePEc:pal:gpprii:v:47:y:2022:i:4:d:10.1057_s41288-021-00238-2.

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  15. Bondholders’ returns and stakeholders’ interests. (2022). Harjoto, Maretno A ; Andreas, ; Nilsson, Marcus A.
    In: Review of Quantitative Finance and Accounting.
    RePEc:kap:rqfnac:v:59:y:2022:i:4:d:10.1007_s11156-022-01075-7.

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  16. Hedging on the Hill: Does Political Hedging Reduce Firm Risk?. (2022). Wellman, Laura A ; Sridharan, Suhas A ; Jin, Hengda ; Christensen, Dane M.
    In: Management Science.
    RePEc:inm:ormnsc:v:68:y:2022:i:6:p:4356-4379.

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  17. Financing Constraints and Risk Management: Evidence From Micro-Level Insurance Data. (2022). Bustos, Emil ; Thomann, Christian ; Martinsson, Gustav ; Engist, Oliver.
    In: Working Paper Series.
    RePEc:hhs:iuiwop:1452.

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  18. Directors and officers’ liability insurance and the pricing of seasoned equity offerings. (2022). Wang, Jo-Yu ; Chuang, Hwei-Lin ; Liao, Tsai-Ling.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:80:y:2022:i:c:p:12-26.

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  19. Directors’ and officers’ liability insurance: Evidence from independent directors’ voting. (2022). Zhu, Jigao ; Yang, Tina ; Li, Tianshi.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:138:y:2022:i:c:s0378426622000255.

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  20. Irreversible reinsurance: A singular control approach. (2022). Wong, Hoi Ying ; Park, Kyunghyun ; Yan, Tingjin.
    In: Insurance: Mathematics and Economics.
    RePEc:eee:insuma:v:107:y:2022:i:c:p:326-348.

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  21. Can local policy uncertainty curtail corporate speculation on financial assets?. (2022). Xu, Hongmei ; Shen, Peiyi ; Peng, Yuchao ; Aibai, Abuduwali.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:83:y:2022:i:c:s1057521922002435.

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  22. Industry tournament incentives and corporate hedging policies. (2022). Tuncez, Ahmet M ; Nart, Ahmet ; Lonare, Gunratan.
    In: Financial Management.
    RePEc:bla:finmgt:v:51:y:2022:i:2:p:399-453.

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  23. A Study on Revenue Insurance Buying for Custard Apple in Taiwan: Perspectives from Prospect Theory and Ambiguity Preference. (2022). Lu, Richard ; Yang, Min-Hsien.
    In: International Journal of Food and Agricultural Economics (IJFAEC).
    RePEc:ags:ijfaec:321779.

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  24. Derivatives use and the value of cash holdings: Evidence from the U.S. oil and gas industry. (2021). Jang, Hyeonung ; Choi, Sanghak ; Ki, Byoung ; Kim, Daejin.
    In: Journal of Futures Markets.
    RePEc:wly:jfutmk:v:41:y:2021:i:3:p:361-383.

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  25. Optimal sequential contract with a risk?averse supplier. (2021). Dai, Chifeng.
    In: Canadian Journal of Economics/Revue canadienne d'économique.
    RePEc:wly:canjec:v:54:y:2021:i:1:p:92-125.

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  26. Corporate financial hedging and firm value: a meta-analysis. (2021). Rathgeber, Andreas ; Hang, Markus ; Geyer-Klingeberg, Jerome.
    In: The European Journal of Finance.
    RePEc:taf:eurjfi:v:27:y:2021:i:6:p:461-485.

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  27. A risk management perspective on CSR and the marginal cost of debt: empirical evidence from Europe. (2021). Kordsachia, Othar.
    In: Review of Managerial Science.
    RePEc:spr:rvmgts:v:15:y:2021:i:6:d:10.1007_s11846-020-00392-2.

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  28. Shareholders and the environment: a review of four decades of academic research. (2021). Scholtens, Bert ; Desroziers, Adrien ; CAPELLE-BLANCARD, Gunther.
    In: Post-Print.
    RePEc:hal:journl:hal-03526647.

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  29. Shareholders and the environment: a review of four decades of academic research. (2021). Scholtens, Bert ; Desroziers, Adrien ; CAPELLE-BLANCARD, Gunther.
    In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
    RePEc:hal:cesptp:hal-03526647.

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  30. The Dynamics of Foreign Exchange Derivative Use in China. (2021). Morley, Bruce ; Sun, Yidi.
    In: JRFM.
    RePEc:gam:jjrfmx:v:14:y:2021:i:7:p:291-:d:581876.

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  31. Insurance Programs in the Renewable Energy Sources Projects. (2021). Janowicz-Lomott, Marietta ; Pukala, Ryszard ; Kirillova, Nadezda.
    In: Energies.
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  32. Revisiting optimal investment strategies of value-maximizing insurance firms. (2021). Iki, Mario ; Ravanelli, Claudia ; Moreno-Bromberg, Santiago ; Koch-Medina, Pablo.
    In: Insurance: Mathematics and Economics.
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  33. Risk management and market conditions. (2021). Gregoriou, Andros ; Haar, Lawrence.
    In: International Review of Financial Analysis.
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  34. Financial distress and commodity hedging: Evidence from Canadian oil firms. (2021). Griffiths, Sophie ; Suvankulov, Farrukh ; Mo, Kun.
    In: Energy Economics.
    RePEc:eee:eneeco:v:97:y:2021:i:c:s0140988321000670.

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  35. Financial hedging and corporate investment. (2021). Zeng, Yeqin ; Chen, Zhong ; Alexandridis, George.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:67:y:2021:i:c:s0929119921000079.

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  36. Paying for expertise: The effect of experience on insurance demand. (2021). Wunder, Kenny ; Leverty, James Tyler ; Anand, Vaibhav .
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:88:y:2021:i:3:p:727-756.

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  37. Impact of financial risk on the operation of Start-ups. (2021). Pukala, Ryszard.
    In: Access Journal.
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  38. Which form of hedging matters — Operational or financial? Evidence from the US oil and gas sector. (2020). lucey, brian ; Lutkemeyer, Tobias ; Laing, Elaine.
    In: Research in International Business and Finance.
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  39. Outcome model or substitute model of D&O insurance on IPO pricing without information asymmetry before issuance. (2020). Chen, Anlin ; Kao, Lanfeng ; Krishnamurti, Chandrasekhar.
    In: Pacific-Basin Finance Journal.
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  40. Corporate hedging and dividend policy: An empirical study of Korean firms. (2020). Kim, Woo Sung ; Park, Kunsu ; Choi, Young Mok.
    In: Finance Research Letters.
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  41. The value of implementing enterprise risk management: Evidence from Taiwan’s financial industry. (2020). Shih, Jhuan-Yu ; Huang, Hong-Gia ; Chuang, Yi-Wei ; Chen, Yu-Lun.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:54:y:2020:i:c:s1062940818303000.

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  42. How does reinsurance and derivatives usage affect financial performance? Evidence from the UK non-life insurance industry. (2020). Shiu, Yung-Ming.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:88:y:2020:i:c:p:376-385.

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  43. Does Captive Insurance Improve Firm Value? Evidence from S&P 500 Companies. (2020). Jiun-Lin, Chen ; Mu-Sheng, Chang.
    In: Asia-Pacific Journal of Risk and Insurance.
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  44. Corporate risk management practices and firm value in an emerging market: a mixed methods approach. (2019). Demirel, Pelin ; Danisman, Gamze Ozturk.
    In: Risk Management.
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  45. Hedging exchange rate risks through installment options. (2019). Salazar, Hector F ; Venegas-Martinez, Francisco ; Hernandez-Jimenez, Araceli.
    In: Sección de Estudios de Posgrado e Investigación de la Escuela Superios de Economía del Instituto Politécnico Nacional.
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  46. A View Inside Corporate Risk Management. (2019). Harvey, Campbell R ; Graham, John R ; Giambona, Erasmo ; Bodnar, Gordon M.
    In: Management Science.
    RePEc:inm:ormnsc:v:65:y:2019:i:11:p:5001-5026.

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  47. The Concept of Risk Capital and Its Application in Non-Financial Companies: A Sustainable Dimension. (2019). Wieczorek-Kosmala, Monika.
    In: Sustainability.
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  48. The Effect of Diversification under Different Ownership Structures and Economic Conditions: Evidence from the Great Recession. (2019). Lin, Zhilu ; Liebenberg, Ivonne A.
    In: JRFM.
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  49. Managerial overconfidence and directors and officers liability insurance. (2019). Tai, Vivian W ; Lai, Yi-Hsun.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:57:y:2019:i:c:s0927538x17301816.

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  50. Do firms hedge with foreign currency derivatives for employees?. (2019). Zhang, Yan ; Huang, Hsin-Yi.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:133:y:2019:i:2:p:418-440.

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  51. Why do small and medium enterprises (SMEs) demand property liability insurance?. (2019). Asai, Yoshihiro .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:106:y:2019:i:c:p:298-304.

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  52. Is skin in the game a game changer? Evidence from mandatory changes of D&O insurance policies. (2019). Lin, Chen ; Zou, Hong ; Schmid, Thomas ; Officer, Micah S.
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:68:y:2019:i:1:s0165410119300011.

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  53. Does corporate hedging enhance shareholder value? A meta-analysis. (2019). Huan, Xing ; Conlon, Thomas ; Bessler, Wolfgang.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:61:y:2019:i:c:p:222-232.

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  54. Firms demand for insurance: An explorative approach. (2019). Krummaker, Simone.
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:22:y:2019:i:3:p:279-301.

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  55. Financial Distress and Hedging: Evidence from Canadian Oil Firms. (2019). Suvankulov, Farrukh ; Griffiths, Sophie ; Mo, Kun.
    In: Discussion Papers.
    RePEc:bca:bocadp:19-4.

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  56. How do Family Ownership and Control Affect the Demand for Director and Officer Insurance?. (2018). Ching, Tzu.
    In: Journal of Applied Finance & Banking.
    RePEc:spt:apfiba:v:8:y:2018:i:6:f:8_6_3.

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  57. What do we really know about corporate hedging? A meta-analytical study. (2018). Hang, Markus ; Geyer-Klingeberg, Jerome ; Walter, Matthias ; Stockl, Stefan ; Rathgeber, Andreas W.
    In: Business Research.
    RePEc:spr:busres:v:11:y:2018:i:1:d:10.1007_s40685-017-0052-0.

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  58. Real implications of corporate risk management: Evidence from U.S. oil producers. (2018). Dionne, Georges ; Mnasri, Mohamed.
    In: Working Papers.
    RePEc:ris:crcrmw:2018_005.

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  59. Analysis of Bankruptcy Threat for Risk Management Purposes: A Model Approach. (2018). Trzsiok, Joanna ; Bach, Joanna ; Wieczorek-Kosmala, Monika.
    In: IJFS.
    RePEc:gam:jijfss:v:6:y:2018:i:4:p:98-:d:191076.

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  60. CEO risk preferences and hedging decisions: A multiyear analysis. (2018). Doukas, John A ; Mandal, Sonik.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:86:y:2018:i:c:p:131-153.

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  61. The role of information: When is Directors’ and Officers’ insurance value-added?. (2018). Chang, Shih-Chung ; Yeh, Jason ; Ren, Yayuan.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:97:y:2018:i:c:p:189-197.

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  62. What drives corporate insurance demand? Evidence from directors and officers liability insurance in Korea. (2018). Park, Min .
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:51:y:2018:i:c:p:235-257.

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  63. Inherent Virtue or Inevitable Evil: The Effects of Directors and Officers Insurance on Firm Value. (2018). , Jason.
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:21:y:2018:i:2:p:243-288.

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  64. On the Corporate Demand for Insurance: Evidence From the Global Reinsurance Market. (2018). Garven, James ; Altuntas, Muhammed ; Rauch, Jannes.
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:21:y:2018:i:2:p:211-242.

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  65. Managing financial constraints: undercapitalization and underwriting capacity in Spanish fire insurance. (2018). Gonzlez, Pablo Gutirrez ; Andersson, Larsa Fredrik.
    In: Economic History Review.
    RePEc:bla:ehsrev:v:71:y:2018:i:2:p:567-592.

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  67. Risk management and value creation: new evidence for Brazilian non-financial companies. (2017). Dos, Rogiene Batista ; de Almeida, Rodrigo Borges ; Gatsios, Rafael Confetti ; Lima, Fabiano Guasti.
    In: Applied Economics.
    RePEc:taf:applec:v:49:y:2017:i:58:p:5815-5827.

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  68. Reinsurance Demand and Liquidity Creation. (2017). Dionne, Georges ; Desjardins, Denise.
    In: Working Papers.
    RePEc:ris:crcrmw:2017_003.

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  69. Insurance and Insurance Markets. (2017). Dionne, Georges ; Harrington, Scott .
    In: Working Papers.
    RePEc:ris:crcrmw:2017_002.

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  70. The Impact of Regulation on Corporate Hedging Activities and the Response of Corporates ¨C A Preliminary Conceptual Framework. (2017). Kifle, Henok.
    In: Business and Management Research.
    RePEc:jfr:bmr111:v:6:y:2017:i:4:p:1-15.

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  71. Reinsurance or CAT Bond? How to Optimally Combine Both. (2017). Lai, Van Son ; Trottier, Denis-Alexandre.
    In: Working Papers.
    RePEc:ipg:wpaper:2017-003.

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  72. CAT Bond Spreads Via HARA Utility and Nonparametric Tests. (2017). Charest, Anne-Sophie ; Lai, Van Son ; Trottier, Denis-Alexandre.
    In: Working Papers.
    RePEc:ipg:wpaper:2017-002.

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  73. Multinationals and the impact of corruption on financial derivatives use and firm value: Evidence from East Asia. (2017). Kim, Trang ; Nguyen, Quang ; Papanastassiou, Marina.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:39:y:2017:i:c:p:39-59.

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  74. Effects of business diversification on asset risk-taking: Evidence from the U.S. property-liability insurance industry. (2017). Che, Xin ; Liebenberg, Andre P.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:77:y:2017:i:c:p:122-136.

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  75. Risk-sharing benefits and the capital structure of insurance companies. (2017). Degryse, Hans ; van Hulle, Cynthia ; Smedts, Kristien .
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:11838.

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  76. BETWEEN-GROUP ADVERSE SELECTION: EVIDENCE FROM GROUP CRITICAL ILLNESS INSURANCE. (2017). Eling, Martin ; Yao, YI ; Jia, Ruo.
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:84:y:2017:i:2:p:771-809.

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  77. ORGANIZATION STRUCTURE AND CORPORATE DEMAND FOR REINSURANCE: THE CASE OF THE JAPANESE KEIRETSU. (2017). Yanase, Noriyoshi ; Limpaphayom, Piman.
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:84:y:2017:i:2:p:599-629.

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  78. Financial Hedging and Firm Performance: Evidence from Cross†border Mergers and Acquisitions. (2017). Chen, Zhong ; Zeng, Yeqin ; Han, BO.
    In: European Financial Management.
    RePEc:bla:eufman:v:23:y:2017:i:3:p:415-458.

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  79. Operational Hedging of Exchange Rate Risks. (2016). Tscheke, Jan.
    In: Discussion Papers in Economics.
    RePEc:lmu:muenec:30227.

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  80. Determinants of Corporate Hedging: Evidence from Emerging Market. (2016). Vural-Yavas, Cigdem .
    In: International Journal of Economics and Finance.
    RePEc:ibn:ijefaa:v:8:y:2016:i:12:p:151-162.

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  81. Is the refining margin stationary?. (2016). Poblacion, Javier ; Serna, Gregorio.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:44:y:2016:i:c:p:169-186.

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  82. The effect of financial innovation on European banks risk. (2016). Merigo, Jose M ; Gonzalez, Luis Otero ; Cunill, Onofre Martorell ; Rodriguez, Luis Ignacio .
    In: Journal of Business Research.
    RePEc:eee:jbrese:v:69:y:2016:i:11:p:4781-4786.

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  83. Directors׳ and officers׳ liability insurance and the cost of equity. (2016). Zou, Hong ; Chen, Zhihong ; Li, Oliver Zhen.
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:61:y:2016:i:1:p:100-120.

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  84. Directors and officers liability insurance and stock price crash risk. (2016). Yuan, Rongli ; Cao, Feng ; Sun, Jian.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:37:y:2016:i:c:p:173-192.

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  85. Market Expectations Following Catastrophes: An Examination of Insurance Broker Returns. (2016). Ragin, Marc A ; Halek, Martin.
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:83:y:2016:i:4:p:849-876.

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  86. Innovaciones financieras en América Latina: mercados de derivados y determinantes de la administración de riesgo. (2015). Venegas-Martínez, Francisco ; Ibáñez, Francisco ; Coronado-Ramirez, Semei ; Romero-Meza, Rafael ; Venegas-Martinez, Francisco ; Ibaez, Francisco .
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  87. The effect of ambiguity on risk management choices: An experimental study. (2015). Thistle, Paul ; Coats, Jennifer ; Bajtelsmit, Vickie.
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    RePEc:kap:jrisku:v:50:y:2015:i:3:p:249-280.

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  88. Does one size fit all? Determinants of insurer capital structure around the globe. (2015). Wende, Sabine ; Berry-Stolzle, Thomas R ; Altuntas, Muhammed.
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  89. The economic effects of financial derivatives on corporate tax avoidance. (2015). Donohoe, Michael P..
    In: Journal of Accounting and Economics.
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  90. Optimal hedging strategy for risk management on a network. (2015). Gupta, Aparna ; Zhu, Yun ; Gao, Tianjiao ; Gulpinar, Nalan .
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  91. Risk Aversion, Risk Behavior, and Demand for Insurance: A Survey. (2014). Outreville, Francois J..
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  92. Between-Group Adverse Selection: Evidence from Group Critical Illness Insurance. (2014). Jia, Ruo ; Eling, Martin ; Yao, YI.
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  93. Determinants of corporate hedging: A (statistical) meta-analysis. (2014). Rathgeber, Andreas W. ; Stockl, Stefan ; Arnold, Matthias M..
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  94. Dynamic risk management. (2014). Viswanathan, S ; Rampini, Adriano ; Sufi, Amir.
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  95. Reprint of: The impact of enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry. (2014). Eckles, David L. ; Miller, Steve M. ; Hoyt, Robert E..
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  96. The impact of enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry. (2014). Eckles, David L. ; Miller, Steve M. ; Hoyt, Robert E..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:43:y:2014:i:c:p:247-261.

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  97. Uncovering the asymmetric linkage between financial derivatives and firm value — The case of oil and gas exploration and production companies. (2014). faff, robert ; Phan, Dinh ; Nguyen, Hoa .
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    RePEc:eee:eneeco:v:45:y:2014:i:c:p:340-352.

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  98. Corporate hedging and the cost of debt. (2014). Chen, Jun ; King, Tao-Hsien Dolly .
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  99. On Litigation Risk and Disclosure Complexity: Evidence from Canadian Firms Cross-Listed in the US. (2014). Panasian, Christine A. ; Gillan, Stuart L..
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  100. Export Credit Guarantees and the Demand for Insurance. (2014). Klasen, Andreas .
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  101. Export Credit Guarantees and the Demand for Insurance. (2014). , Andreasklasen ; Klasen, Andreas .
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  102. Uncertain Costs and Vertical Differentiation in an Insurance Duopoly. (2014). Raykov, Radoslav.
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  103. The effect of the enterprise risk management implementation on the firm value of European companies. (2013). Gardenal, Gloria ; Cavezzali, Elisa ; Bertinetti, Giorgio Stefano .
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  104. Rationales for Corporate Risk Management - A Critical Literature Review. (2013). Monda, Barbara ; Modolin, Ileana ; Giorgino, Marco .
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  105. Corporate Demand for Insurance: New Evidence from the U.S. Terrorism and Property Markets. (2013). Raschky, Paul ; Michel-Kerjan, Erwann ; Kunreuther, Howard.
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  106. Corporate Risk Management And Value Creation. (2013). Spraia, Danijela Milo .
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  107. Directors and officers liability insurance and loan spreads. (2013). Zou, Hong ; Lin, Chen ; Wang, Rui ; Officer, Micah S..
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:110:y:2013:i:1:p:37-60.

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  108. Does risk management matter? Evidence from the U.S. agricultural industry. (2013). Cornaggia, Jess.
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    RePEc:eee:jfinec:v:109:y:2013:i:2:p:419-440.

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  109. A re-examination of exposure to exchange rate risk: The impact of earnings management and currency derivative usage. (2013). Hsin, Chin-Wen ; Shiah-Hou, Shin-Rong ; Chang, Feng-Yi.
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  110. CEO inside debt and hedging decisions: Lessons from the U.S. banking industry. (2013). Boubaker, Sabri ; Belkhir, Mohamed.
    In: Journal of International Financial Markets, Institutions and Money.
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  111. Do subordinated debt holders discipline bank risk-taking? Evidence from risk management decisions. (2013). Belkhir, Mohamed.
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  112. The Relationship Between Insurance and Economic Development: 85 Empirical Papers for a Review of the Literature. (2013). Outreville, J. François.
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  113. Analyzing the dynamics of the refining margin: implications for valuation and hedging. (2012). Mirantes, Andres Garcia ; Serna, Gregorio.
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  114. On the Determinants of Derivative Usage by Large Indian Non-financial Firms. (2012). .
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  115. Insurance and ownership structure in India’s corporate sector. (2012). Buckle, Mike ; Adams, Mike ; Jia, Joy.
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  116. Does managerial entrenchment motivate the insurance decision?. (2012). Jia-Upreti, Joy ; Jiang, Wei ; Adams, Mike .
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  117. Does property rights protection affect corporate risk management strategy? Intra- and cross-country evidence. (2012). Zou, Hong ; Lin, Chen.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:18:y:2012:i:2:p:311-330.

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  118. Optimal Hedging Strategies and Interactions between Firms. (2012). Loss, Frédéric.
    In: Journal of Economics & Management Strategy.
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  119. Corporate Demand for Insurance: An Empirical Analysis of the U.S. Market for Catastrophe and Non-Catastrophe Risks. (2011). Raschky, Paul ; Michel-Kerjan, Erwann ; Kunreuther, Howard.
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  120. Insurance of Techno-Organizational Ventures and Procedural Ethics: Lessons from the Deepwater Horizon Explosion. (2011). Kyrtsis, Alexandros-Andreas .
    In: Journal of Business Ethics.
    RePEc:kap:jbuset:v:103:y:2011:i:1:p:45-61.

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  121. A STRATEGIC FRAMEWORK FOR VALUE ENHANCING ENTERPRISE RISK MANAGEMENT. (2011). Woon, Lai Fong ; Azizan, Noor Azlinna ; M. Fazilah Abdul Samad, .
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  122. Industry loss warranties: contract features, pricing, and central demand factors. (2011). Schmeiser, Hato ; Gatzert, Nadine.
    In: Journal of Risk Finance.
    RePEc:eme:jrfpps:v:13:y:2011:i:1:p:13-31.

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  123. Liquidity management and corporate demand for hedging and insurance. (2011). villeneuve, stephane ; Rochet, Jean.
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    RePEc:eee:jfinin:v:20:y:2011:i:3:p:303-323.

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  124. Directors and officers liability insurance and acquisition outcomes. (2011). Zou, Hong ; Lin, Chen ; Officer, Micah S..
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:102:y:2011:i:3:p:507-525.

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  125. Corporate hedging versus risk-shifting in financially constrained firms: The time-horizon matters!. (2011). Linde, Rainer ; Kuersten, Wolfgang .
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:17:y:2011:i:3:p:502-525.

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  126. Why do firms denominate bank loans in foreign currencies? Empirical evidence from Canada and U.K.. (2010). Nandy, Debarshi.
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    RePEc:eee:jebusi:v:62:y::i:6:p:577-603.

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  127. Derivative usage and firm value: The influence of agency costs and monitoring problems. (2010). Naranjo, Andy ; Fauver, Larry .
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    RePEc:eee:corfin:v:16:y:2010:i:5:p:719-735.

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  128. Hedging Affecting Firm Value via Financing and Investment: Evidence from Property Insurance Use. (2010). Zou, Hong.
    In: Financial Management.
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  129. Corporate Hedging and Shareholder Value. (2009). Bartram, Söhnke ; Aretz, Kevin.
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  130. Corporate Demand for Insurance: An Empirical Analysis of the U.S. Market for Catastrophe and Non-Catastrophe Risks. (2009). Raschky, Paul ; Michel-Kerjan, Erwann ; Kunreuther, Howard C..
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  131. Protecting Directors and Officers from Liability Arising from Aggressive Earnings Management. (2009). Boyer, M. Martin ; Hanon, Amandine .
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  132. Influential Articles, Journals, and Institutions in Risk Management and Insurance. (2009). Liano, Kartono ; Chan, Kam C..
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:12:y:2009:i:1:p:125-139.

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  133. Optimal Reinsurance Arrangements Under Tail Risk Measures. (2009). Bernard, Carole ; Tian, Weidong.
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:76:y:2009:i:3:p:709-725.

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  134. International Evidence on Financial Derivatives Usage. (2009). Bartram, Söhnke ; Fehle, Frank R. ; Brown, Gregory W..
    In: Financial Management.
    RePEc:bla:finmgt:v:38:y:2009:i:1:p:185-206.

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  135. A Review of the Rationales for Corporate Risk Management: Fashion or the Need?. (2008). Spri, Danijela Milo ; Tekavi, Metka ; evi, eljko .
    In: International Journal of Business and Economic Sciences Applied Research (IJBESAR).
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  136. Why firms purchase property insurance. (2008). Ehling, Paul ; Aunon-Nerin, Daniel.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:90:y:2008:i:3:p:298-312.

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  137. Hedging, financing, and investment decisions: Theory and empirical tests. (2008). Phillips, Richard ; Lin, Chen-Miao ; Smith, Stephen D..
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:8:p:1566-1582.

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  138. Controlling-minority shareholder incentive conflicts and directors and officers liability insurance: Evidence from China. (2008). Zou, Hong ; Shum, Clement ; Wong, Sonia ; Yan, Jun ; Xiong, Jun.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:12:p:2636-2645.

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  139. Insuring a risky investment project. (2008). Loubergé, Henri ; Louberge, Henri ; Watt, Richard .
    In: Insurance: Mathematics and Economics.
    RePEc:eee:insuma:v:42:y:2008:i:1:p:301-310.

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  140. Managerial Career Concerns and Risk Management. (2008). Zhang, GE ; Wang, Jun ; Nam, Jouahn .
    In: Journal of Risk & Insurance.
    RePEc:bla:jrinsu:v:75:y:2008:i:3:p:785-809.

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  141. Corporate Management of Highly Dynamic Risks: The Case of Terrorism Insurance in Germany. (2007). Pascalau, Razvan ; Gas, Bruno ; von der Schulenburg, J.-Matthias Graf, ; von der Schulenburg, J. -Matthias Graf, ; Thomann, Christian .
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  142. Risk Shifting versus Risk Management: Investment Policy in Corporate Pension Plans. (2007). Rauh, Joshua .
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  143. Internal Versus External Capital Markets in the Insurance Industry: The Role of Reinsurance. (2007). Powell, Lawrence ; Sommer, David.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:31:y:2007:i:2:p:173-188.

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  144. Hedging and choice of currency denomination in international syndicated loan markets. (2007). Esho, Neil ; Sharpe, Ian G. ; Webster, Kristian H..
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:15:y:2007:i:2:p:195-212.

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  145. Interest rate derivatives at commercial banks: An empirical investigation. (2007). Purnanandam, Amiyatosh.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:54:y:2007:i:6:p:1769-1808.

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  146. Risk Management: The Unifying Framework for Business Scholarship and Pedagogy. (2007). Garven, James R..
    In: Risk Management and Insurance Review.
    RePEc:bla:rmgtin:v:10:y:2007:i:1:p:1-12.

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  147. Managerial Stock Options and the Hedging Premium. (2007). Holmen, Martin ; Pramborg, Bengt ; Hagelin, Niclas ; Knopf, John D..
    In: European Financial Management.
    RePEc:bla:eufman:v:13:y:2007:i:4:p:721-741.

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  148. Demand for Foreign Exchange Derivatives in Brazil: Hedge or Speculation. (2007). de Oliveira, Fernando N. ; Novaesk, Walter.
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  149. The Demand for Directors’ and Officers’ Liability Insurance by US Public Companies. (2006). Kalchev, Georgi.
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  150. The Determinants of Foreign Currency Hedging by U.K. Non-Financial Firms. (2006). Judge, Amrit.
    In: Multinational Finance Journal.
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  151. Some Determinants of Corporate Risk Aversion. (2006). Bickel, Eric J.
    In: Decision Analysis.
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  152. Supply and Demand for Terrorism Insurance: Lessons from Germany. (2006). Thomann, Christian ; Graf von der Schulenburg, J. -Matthias, ; Graf von der Schulenburg, J.-Matthias, .
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  153. The corporate purchase of property insurance: Chinese evidence. (2006). Zou, Hong ; Adams, Mike B..
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:15:y:2006:i:2:p:165-196.

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  154. Characteristics of UK firms related to timing of adoption of Statement of Standard Accounting Practice No. 20. (2006). Iatridis, George Emmanuel ; Joseph, Nathan Lael .
    In: Accounting and Finance.
    RePEc:bla:acctfi:v:46:y:2006:i:3:p:429-455.

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  155. Entrepreneurs and the Choice of Limited Liability. (2005). Woyode, Michael J. ; Michael T. K. Horvath, .
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  156. Salesforce Compensation: An Analytical and Empirical Examination of the Agency Theoretic Approach. (2005). Misra, Sanjog ; Narasimhan, Chakravarthi ; Coughlan, Anne .
    In: Quantitative Marketing and Economics (QME).
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  157. The Determinants of Foreign Currency Hedging–Evidence from Hong Kong Non-Financial Firms. (2005). .
    In: Asia-Pacific Financial Markets.
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  158. Hedging, financing, and investment decisions: a simultaneous equations framework. (2005). Lin, Chen-Miao ; Smith, Stephen D..
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  159. Corporate risk management: evidence from product liability. (2005). Jorgensen, Bjorn ; Beatty, Anne ; Gron, Anne .
    In: Journal of Financial Intermediation.
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  160. Investment, cash flow, and corporate hedging. (2005). Deshmukh, Sanjay ; Vogt, Stephen C..
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:11:y:2005:i:4:p:628-644.

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  161. The Value of Real and Financial Risk Management. (2005). Garcia, René ; Boyer, M. Martin.
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  162. On Corporate Risk Management and Insurance. (2005). MacMinn, Richard D..
    In: Asia-Pacific Journal of Risk and Insurance.
    RePEc:bpj:apjrin:v:1:y:2005:i:1:n:6.

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  163. Derivatives Use, Corporate Governance, and Legislative Change: An Empirical Analysis of New Zealand Listed Companies. (2005). Prevost, Andrew K ; Marsden, Alastair.
    In: Journal of Business Finance & Accounting.
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  164. Derivatives Use, Corporate Governance, and Legislative Change: An Empirical Analysis of New Zealand Listed Companies. (2005). Marsden, Alastair ; Prevost, Andrew K..
    In: Journal of Business Finance & Accounting.
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  165. Versicherungsbetrug als ökonomisches Problem: Eine vertragstheoretische Analyse. (2004). Schiller, Joerg.
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  166. Financial Disclosure and Bond Insurance. (2004). Trzcinka, Charles ; Gore, Angela K ; Sachs, Kevin.
    In: Journal of Law and Economics.
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  167. The Use of Options in Corporate Risk Management. (2004). Bartram, Söhnke.
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  168. Hedging behavior in small and medium-sized enterprises: The role of unobserved heterogeneity. (2004). Pennings, Joost ; Garcia, Philip ; Pennings, Joost M. E., ; Pennings, Joost M. E., .
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  169. Valuation of structured risk management products. (2004). Pedersen, Hal W. ; Cox, Samuel H. ; Fairchild, Joseph R..
    In: Insurance: Mathematics and Economics.
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  170. Reputation costs: the impetus for voluntary derivative financial instrument reporting. (2004). Godfrey, Jayne M. ; Chalmers, Keryn.
    In: Accounting, Organizations and Society.
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  171. International Evidence on Financial Derivatives Usage. (2003). Bartram, Söhnke ; Fehle, Frank R. ; Brown, Gregory W..
    In: Finance.
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  172. Sovereign Cat Bonds and Infrastructure Project Financing. (2003). Richter, Andreas ; Croson, David .
    In: Risk Analysis.
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  173. La gestion des risques financiers par les entreprises : explications théoriques versus études empiriques. (2003). Mellios, Constantin .
    In: Revue d'Économie Financière.
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  174. The design of liability rules for highly risky activities--Is strict liability superior when risk allocation matters?. (2003). Richter, Andreas ; Nell, Martin .
    In: International Review of Law and Economics.
    RePEc:eee:irlaec:v:23:y:2003:i:1:p:31-47.

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  175. The Determinants of Enterprise Risk Management: Evidence From the Appointment of Chief Risk Officers. (2003). Hoyt, Robert E. ; Liebenberg, Andre P..
    In: Risk Management and Insurance Review.
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