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Social Sciences → Business, Management and Accounting → Accounting

Risk Management in Financial Firms

This cluster of papers focuses on the various aspects of enterprise risk management, including the use of derivatives, hedging strategies, exchange rate exposure, firm value implications, corporate governance influence, and financial risk assessment. The research explores the relationship between risk management practices and firm performance in the context of finance and business operations.

46.3K works worldwide265.2K citations
DerivativesHedgingExchange Rate ExposureFirm ValueCorporate GovernanceFinancial RiskEnterprise Risk ManagementForeign Currency DerivativesOperational HedgingRisk Measurement

Journals publishing in this area

1Journal of International Business Studies cover
Journal of International Business Studies
ISSN 0047-250664 articles in this topic
342h-index