On risk management determinants: What really matters?
Citations
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- Wissem Bouaziz & Abdelfettah Bouri, 2012. "Ownership structure and financial institutes risk taking: evidence from Tunisian quoted bank (financial institute)," International Journal of Managerial and Financial Accounting, Inderscience Enterprises Ltd, vol. 4(1), pages 47-60.
- Selim Mankai & Aymen Belgacem, 2013. "Interactions Between Risk-Taking, Capital, and Reinsurance for Property-Liability Insurance Firms," Working Papers hal-04141190, HAL.
- Thomas Kiptanui TARUS, 2020. "Does Corporate Governance Mechanisms Matter in Explaining Risk Management? Evidence from Non-Financial Kenyan Listed Firms," Journal of Economics and Financial Analysis, Tripal Publishing House, vol. 4(1), pages 79-97.
- Thomas Kiptanui Tarus & Joel K Tenai & Joyce Komen, 2020. "Does Ownership Structure Affect Risk Management? Evidence from an Emerging Economy, Kenya," Journal of Accounting, Business and Finance Research, Scientific Publishing Institute, vol. 8(1), pages 1-10.
- Mo, Kun & Suvankulov, Farrukh & Griffiths, Sophie, 2021. "Financial distress and commodity hedging: Evidence from Canadian oil firms," Energy Economics, Elsevier, vol. 97(C).
- Kevin Aretz & Söhnke M. Bartram, 2010.
"Corporate Hedging And Shareholder Value,"
Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 33(4), pages 317-371, December.
- Aretz, Kevin & Bartram, Söhnke M., 2009. "Corporate Hedging and Shareholder Value," MPRA Paper 14088, University Library of Munich, Germany.
- Dionne, Georges & Santugini, Marc, 2014.
"Entry, imperfect competition, and futures market for the input,"
International Journal of Industrial Organization, Elsevier, vol. 35(C), pages 70-83.
- Georges Dionne & Marc Santugini, 2012. "Entry, Imperfect Competition, and Futures Market for the Input," Cahiers de recherche 1215, CIRPEE.
- Georges Dionne & Marc Santugini, 2013. "Entry, imperfect competition, and futures market for the input," Working Papers 12-5, HEC Montreal, Canada Research Chair in Risk Management.
- Steven Buccola & David Ervin & Hui Yang, 2009. "Research Choice and Finance in University Bioscience," Southern Economic Journal, John Wiley & Sons, vol. 75(4), pages 1238-1255, April.
- Georges Dionne & Scott Harrington, 2017. "Insurance and Insurance Markets," Working Papers 17-2, HEC Montreal, Canada Research Chair in Risk Management.
- Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013.
"The Maturity Structure of Corporate Hedging: the Case of the U.S. Oil and Gas Industry,"
Cahiers de recherche
1337, CIRPEE.
- Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013. "The maturity structure of corporate hedging: The case of the U.S. oil and gas industry," Working Papers 13-5, HEC Montreal, Canada Research Chair in Risk Management.
- Sikarwar, Ekta, 2022. "Board attributes, hedging activities and exchange rate risk: Multi-country firm-level evidence," Economic Modelling, Elsevier, vol. 110(C).
- J. Cummins & Georges Dionne & Robert Gagné & A. Nouira, 2009.
"Efficiency of insurance firms with endogenous risk management and financial intermediation activities,"
Journal of Productivity Analysis, Springer, vol. 32(2), pages 145-159, October.
- J. David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2006. "Efficiency of Insurance Firms with Endogenous Risk Management and Financial Intermediation Activities," Cahiers de recherche 06-06, HEC Montréal, Institut d'économie appliquée.
- J. David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2006. "Efficiency of Insurance Firms with Endogenous Risk Management and Financial Intermediation Activities," Cahiers de recherche 0616, CIRPEE.
- David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2006. "Efficiency of insurance firms with endogenous risk management and financial intermediation activities," Working Papers 06-6, HEC Montreal, Canada Research Chair in Risk Management.
- Nurulhasanah Abdul Rahman & Rafisah Mat Radzi, 2015. "Determinants of Effective Financial Risk Management in Small Business: A Theoretical Framework," Information Management and Business Review, AMH International, vol. 7(2), pages 87-92.
- George Horia IONESCU & Ruxandra Dana VILAG, 2015. "RISK MANAGEMENT, CORPORATE GOVERNANCE AND SUSTAINABLE DEVELOPMENT Abstract : Financial management implies a complex and extensive area of interest with deep connections with financial analysis, corporate finance and risk management. Thus, risk manage," EcoForum, "Stefan cel Mare" University of Suceava, Romania, Faculty of Economics and Public Administration - Economy, Business Administration and Tourism Department., vol. 4(Special I), pages 1-33, august.
- Georges Dionne & Olfa Maalaoui Chun & Thouraya Triki, 2019.
"The governance of risk management: The importance of directors’ independence and financial knowledge,"
Risk Management and Insurance Review, American Risk and Insurance Association, vol. 22(3), pages 247-277, September.
- Georges Dionne & Olfa Maalaoui Chun & Thouraya Triki, 2018. "The Governance of Risk Management: The Importance of Directors’ Independence and Financial Knowledge," Working Papers 18-7, HEC Montreal, Canada Research Chair in Risk Management.
- Georges Dionne & Thouraya Triki, 2005.
"Risk management and corporate governance: The importance of independence and financial knowledge for the board and the audit committee,"
Working Papers
05-3, HEC Montreal, Canada Research Chair in Risk Management.
- Georges Dionne & Thouraya Triki, 2005. "Risk Management and Corporate Governance: the Importance of Independence and Financial Knowledge for the Board and the Audit Committee," Cahiers de recherche 0515, CIRPEE.
- Ahtisham Imtiaz & Aqueel Imtiaz Wahga & Syed Fakher Abbas Zaidi & Safyan Majid, 2023. "Corporate Hedging and Stock Market Dynamics: Evidence from PSX," Bulletin of Business and Economics (BBE), Research Foundation for Humanity (RFH), vol. 12(3), pages 580-586.
- Affaf Asghar Butt & Main Sajid Nazir & Hamera Arshad & Aamer Shahzad, 2018. "Corporate Derivatives and Ownership Concentration: Empirical Evidence of Non-Financial Firms Listed on Pakistan Stock Exchange," JRFM, MDPI, vol. 11(3), pages 1-15, June.
- Monda, Barbara & Giorgino, Marco & Modolin, Ileana, 2013. "Rationales for Corporate Risk Management - A Critical Literature Review," MPRA Paper 45420, University Library of Munich, Germany.
- Sana Sheikh & Ali Murad Syed & Syed Sikander Ali Shah, 2018. "Corporate Reinsurance Utilisation and Capital Structure: Evidence from Pakistan Insurance Industry," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 43(2), pages 300-334, April.
- Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013.
"How Do Firms Hedge Risks? Empirical Evidence from U.S. Oil and Gas Producers,"
Cahiers de recherche
1307, CIRPEE.
- Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013. "How do firms hedge risks? Empirical evidence from U.S. oil and gas producers," Working Papers 13-3, HEC Montreal, Canada Research Chair in Risk Management.
- Georges Dionne & Rayane El Hraiki & Mohamed Mnasri, 2022. "Determinants and real effects of joint hedging: An empirical analysis of the US petroleum industry," Working Papers 22-4, HEC Montreal, Canada Research Chair in Risk Management.
- Zuraidah Mohd-Sanusi & Shayan Motjaba-Nia & Nurul A. Roosle & Ria N. Sari & Agus Harjitok, 2017. "Effects of Corporate Governance Structures on Enterprise Risk Management Practices in Malaysia," International Journal of Economics and Financial Issues, Econjournals, vol. 7(1), pages 6-13.
- Selim Mankaï & Aymen Belgacem, 2013.
"Interactions Between Risk-Taking, Capital, and Reinsurance for Property-Liability Insurance Firms,"
EconomiX Working Papers
2013-23, University of Paris Nanterre, EconomiX.
- Selim Mankaï & Aymen Belgacem, 2014. "Interactions Between Risk-Taking, Capital, and Reinsurance for Property- Liability Insurance Firms," Working Papers 2014-154, Department of Research, Ipag Business School.
- Georges Dionne & Denise Desjardins, 2017. "Reinsurance Demand and Liquidity Creation," Working Papers 17-3, HEC Montreal, Canada Research Chair in Risk Management.
- Walter Gontarek & Yacine Belghitar, 2018. "Risk governance: Examining its impact upon bank performance and risk‐taking," Financial Markets, Institutions & Instruments, John Wiley & Sons, vol. 27(5), pages 187-224, December.
- Georges Dionne & Mohamed Mnasri, 2018. "Real implications of corporate risk management: Evidence from U.S. oil producers," Working Papers 18-5, HEC Montreal, Canada Research Chair in Risk Management.
- Xiaoyi Li & Yung-Ming Shiu, 2021. "Reinsurance, debt capacity and financial flexibility," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 46(4), pages 664-687, October.
- Cigdem Vural-Yavas, 2016. "Determinants of Corporate Hedging: Evidence from Emerging Market," International Journal of Economics and Finance, Canadian Center of Science and Education, vol. 8(12), pages 151-162, December.
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