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1
The Importance of Corporate Foreign Debt in Managing Exchange Rate Exposures in Non-Financial Companies
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Article
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The Importance of Corporate Foreign Debt in Managing Exchange Rate Exposures in Non-Financial Companies

European financial management : the journal of the European Financial Management Association, 2006-09, Vol.12 (4), p.633-649 [Peer Reviewed Journal]

2006 The Authors Journal compilation © 2006 Blackwell Publishing Ltd ;ISSN: 1354-7798 ;EISSN: 1468-036X ;DOI: 10.1111/j.1468-036X.2006.00334.x

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2
Corporate foreign exchange speculation and integrated risk management
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Article
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Corporate foreign exchange speculation and integrated risk management

Managerial finance, 2012-06, Vol.38 (8), p.729-751 [Peer Reviewed Journal]

Emerald Group Publishing Limited ;Copyright Emerald Group Publishing Limited 2012 ;ISSN: 0307-4358 ;EISSN: 1758-7743 ;DOI: 10.1108/03074351211239379

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3
Corporate risk and the humpback of CEO narcissism
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Article
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Corporate risk and the humpback of CEO narcissism

Review of behavioral finance, 2018-07, Vol.10 (3), p.252-273 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited 2018 ;ISSN: 1940-5979 ;EISSN: 1940-5987 ;DOI: 10.1108/RBF-07-2017-0070

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4
Foreign Debt Usage in Non-Financial Firms: a Horse Race between Operating and Accounting Exposure Hedging
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Article
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Foreign Debt Usage in Non-Financial Firms: a Horse Race between Operating and Accounting Exposure Hedging

European financial management : the journal of the European Financial Management Association, 2015-06, Vol.21 (3), p.590-611 [Peer Reviewed Journal]

2013 John Wiley & Sons Ltd ;2015 John Wiley & Sons Ltd ;ISSN: 1354-7798 ;EISSN: 1468-036X ;DOI: 10.1111/j.1468-036X.2013.12032.x

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5
Do narcissistic CEOs rock the boat?
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Article
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Do narcissistic CEOs rock the boat?

Review of behavioral finance, 2021-04, Vol.13 (2), p.141-164 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited 2020 ;ISSN: 1940-5979 ;EISSN: 1940-5987 ;DOI: 10.1108/RBF-09-2019-0118

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6
Corporate risk: CEO overconfidence and incentive compensation
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Article
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Corporate risk: CEO overconfidence and incentive compensation

Managerial finance, 2021-01, Vol.47 (2), p.244-265 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited 2020 ;ISSN: 0307-4358 ;EISSN: 1758-7743 ;DOI: 10.1108/MF-05-2020-0278

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7
The effects of efficiency on banks’ market risk: Empirical evidence from China
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Article
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The effects of efficiency on banks’ market risk: Empirical evidence from China

Asian academy of management journal of accounting and finance, 2021-01, Vol.17 (2), p.81-106 [Peer Reviewed Journal]

ISSN: 1823-4992 ;EISSN: 2180-4192 ;DOI: 10.21315/aamjaf2021.17.2.4

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8
Evaluating the performance of the skewed distributions to forecast value-at-risk in the global financial crisis
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Article
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Evaluating the performance of the skewed distributions to forecast value-at-risk in the global financial crisis

The journal of risk, 2016-01, Vol.18 (5) [Peer Reviewed Journal]

ISSN: 1465-1211 ;DOI: 10.21314/J0R.2016.332

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9
Letting the "Tail Wag the Dog": The Debate over GAAP versus Street Earnings Revisited
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Article
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Letting the "Tail Wag the Dog": The Debate over GAAP versus Street Earnings Revisited

Contemporary accounting research, 2007-09, Vol.24 (3), p.675-723 [Peer Reviewed Journal]

2007 Canadian Academic Accounting Association ;ISSN: 0823-9150 ;EISSN: 1911-3846 ;DOI: 10.1506/car.24.3.1

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10
Economics of risk-taking, risk-based capital and profitability: Empirical evidence of Islamic banks
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Article
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Economics of risk-taking, risk-based capital and profitability: Empirical evidence of Islamic banks

Asian academy of management journal of accounting and finance, 2022-07, Vol.18 (1), p.1-31 [Peer Reviewed Journal]

ISSN: 1823-4992 ;EISSN: 2180-4192 ;DOI: 10.21315/aamjaf2022.18.1.1

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11
How banks adjust capital ratios: the most recent empirical facts
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Article
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How banks adjust capital ratios: the most recent empirical facts

Quantitative finance and economics, 2020-01, Vol.4 (3), p.412-429 [Peer Reviewed Journal]

ISSN: 2573-0134 ;EISSN: 2573-0134 ;DOI: 10.3934/QFE.2020019

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12
How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial Banks
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Article
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How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial Banks

Journal of Central Banking Theory and Practice (Podgorica), 2021-05, Vol.10 (2), p.109-131 [Peer Reviewed Journal]

2021. This work is published under https://creativecommons.org/licenses/by/4.0/ (the “License”). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2336-9205 ;ISSN: 1800-9581 ;EISSN: 2336-9205 ;DOI: 10.2478/jcbtp-2021-0016

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13
The impact sporting and financial performance of football clubs on their stock price: an analytical study of European clubs sample listed in the financial market
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Article
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The impact sporting and financial performance of football clubs on their stock price: an analytical study of European clubs sample listed in the financial market

Review of behavioral finance, 2023-06, Vol.15 (3), p.340-354 [Peer Reviewed Journal]

Emerald Publishing Limited ;ISSN: 1940-5979 ;EISSN: 1940-5987 ;DOI: 10.1108/RBF-11-2021-0242

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14
The role of ownership structure and board characteristics in stock market liquidity
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Article
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The role of ownership structure and board characteristics in stock market liquidity

International journal of financial studies, 2021-12, Vol.9 (4), p.1-15 [Peer Reviewed Journal]

2021 by the authors. Licensee MDPI, Basel, Switzerland. This article is an open access article distributed under the terms and conditions of the Creative Commons Attribution (CC BY) license (https://creativecommons.org/licenses/by/4.0/). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2227-7072 ;EISSN: 2227-7072 ;DOI: 10.3390/ijfs9040074

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15
The Effects of Prior Manager-Auditor Affiliation and PCAOB Inspection Reports on Audit Committee Members' Auditor Recommendations
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Article
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The Effects of Prior Manager-Auditor Affiliation and PCAOB Inspection Reports on Audit Committee Members' Auditor Recommendations

Behavioral research in accounting, 2016-01, Vol.28 (1), p.1-14 [Peer Reviewed Journal]

Copyright American Accounting Association Spring 2016 ;ISSN: 1050-4753 ;EISSN: 1558-8009 ;DOI: 10.2308/bria-51314

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16
Internal Audit Quality and Financial Reporting Quality: The Joint Importance of Independence and Competence
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Article
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Internal Audit Quality and Financial Reporting Quality: The Joint Importance of Independence and Competence

Journal of accounting research, 2016-03, Vol.54 (1), p.3-40 [Peer Reviewed Journal]

2016 The Accounting Research Center at the University of Chicago Booth School of Business ;Copyright ©, University of Chicago on behalf of the Accounting Research Center, 2015 ;ISSN: 0021-8456 ;EISSN: 1475-679X ;DOI: 10.1111/1475-679X.12099 ;CODEN: JACRBR

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17
The Impact of Litigation Risk on Auditor Pricing Behavior: Evidence From Reverse Mergers
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Article
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The Impact of Litigation Risk on Auditor Pricing Behavior: Evidence From Reverse Mergers

Contemporary accounting research, 2017-06, Vol.34 (2), p.1103-1127 [Peer Reviewed Journal]

CAAA ;2017 The Canadian Academic Accounting Association ;ISSN: 0823-9150 ;EISSN: 1911-3846 ;DOI: 10.1111/1911-3846.12300

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18
Audit Fee Reductions from Internal Audit-Provided Assistance: The Incremental Impact of Internal Audit Characteristics
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Article
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Audit Fee Reductions from Internal Audit-Provided Assistance: The Incremental Impact of Internal Audit Characteristics

Contemporary accounting research, 2012-03, Vol.29 (1), p.94-118 [Peer Reviewed Journal]

2011 The Canadian Academic Accounting Association ;Copyright Canadian Academic Accounting Association Spring 2012 ;ISSN: 0823-9150 ;EISSN: 1911-3846 ;DOI: 10.1111/j.1911-3846.2011.01072.x

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19
Control Self-Assessment and Costs of Compliance with Sarbanes-Oxley Section 404
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Article
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Control Self-Assessment and Costs of Compliance with Sarbanes-Oxley Section 404

Journal of management accounting research, 2019-09, Vol.31 (3), p.5-24 [Peer Reviewed Journal]

Copyright American Accounting Association Fall 2019 ;ISSN: 1049-2127 ;EISSN: 1558-8033 ;DOI: 10.2308/jmar-52399

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20
An Empirical Analysis of CEO Risk Aversion and the Propensity to Smooth Earnings Volatility
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Article
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An Empirical Analysis of CEO Risk Aversion and the Propensity to Smooth Earnings Volatility

Journal of Accounting, Auditing & Finance, 2007-04, Vol.22 (2), p.201-235 [Peer Reviewed Journal]

2007 SAGE Publications ;ISSN: 0148-558X ;EISSN: 2160-4061 ;DOI: 10.1177/0148558X0702200209

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