Management of foreign exchange risk : evidence from developing economies
Year of publication: |
2021
|
---|---|
Authors: | Lum, Yew C. ; Islam, Sardar M. N. |
Publisher: |
London : Routledge, Taylor & Francis Group |
Subject: | Währungsrisiko | Exchange rate risk | Finanzmathematik | Mathematical finance | ARCH-Modell | ARCH model | Malaysia | Entwicklungsländer | Developing countries |
Description of contents: | Table of Contents [gbv.de] |
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Management of foreign exchange risk : evidence from developing economies
Lum, Y. C., (2021)
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Currency risk and the safe-haven hypothesis
Doroodian, Khosrow, (2000)
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Inflation risk, exchange rate risk, and asset returns : evidence from Korea, Malaysia, and Taiwan
Saleem, Kashif, (2013)
- More ...
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Lu, Richard, (2020)
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A nonlinear optimization model for the balanced vehicle routing problem with loading constraints
Vega‐Mejía, Carlos A., (2018)
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Clarke, Matthew, (2003)
- More ...