Details about Betty J. Simkins
Access statistics for papers by Betty J. Simkins.
Last updated 2019-02-22. Update your information in the RePEc Author Service.
Short-id: psi765
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Journal Articles
2018
- Terrorism and oil markets: A cross-sectional evaluation
Finance Research Letters, 2018, 24, (C), 42-48 View citations (18)
2017
- A review of the literature on commodity risk management
Journal of Commodity Markets, 2017, 8, (C), 1-17 View citations (20)
2016
- The business of sport and the sport of business: A review of the compensation literature in finance and sports
International Review of Financial Analysis, 2016, 47, (C), 197-204 View citations (6)
- The challenges of and solutions for implementing enterprise risk management
Business Horizons, 2016, 59, (6), 689-698 View citations (18)
2015
- OTC vs. Exchange Traded Derivatives and Their Impact on Hedging Effectiveness and Corporate Capital Requirements
Journal of Applied Corporate Finance, 2015, 27, (1), 63-70 View citations (6)
2014
- Does Operational and Financial Hedging Reduce Exposure? Evidence from the U.S. Airline Industry
The Financial Review, 2014, 49, (1), 149-172 View citations (24)
- Exposure, hedging, and value: New evidence from the U.S. airline industry
International Review of Financial Analysis, 2014, 34, (C), 200-211 View citations (19)
- Options on Troubled Stock
Journal of Futures Markets, 2014, 34, (7), 637-657
2012
- A comparative study of the probability of default for global financial firms
Journal of Banking & Finance, 2012, 36, (3), 717-732 View citations (16)
- Diversification revisited
Research in International Business and Finance, 2012, 26, (2), 304-316 View citations (7)
2011
- A framework for journal assessment: The case of the Journal of Banking & Finance
Journal of Banking & Finance, 2011, 35, (1), 1-6 View citations (12)
- FX risk‐neutral valuation relationships for the S U jump‐diffusion family
International Journal of Finance & Economics, 2011, 16, (4), 339-356 View citations (1)
2009
- Analyst forecasts and price discovery in futures markets: The case of natural gas storage
Journal of Futures Markets, 2009, 29, (5), 451-477 View citations (22)
2007
- Ten Common Misconceptions About Enterprise Risk Management
Journal of Applied Corporate Finance, 2007, 19, (4), 75-81 View citations (4)
2006
- Asymmetric information and credit quality: Evidence from synthetic fixed‐rate financing
Journal of Futures Markets, 2006, 26, (6), 595-625 View citations (3)
- Does Hedging Affect Firm Value? Evidence from the US Airline Industry
Financial Management, 2006, 35, (1), 53-86 View citations (170)
Also in Financial Management, 2006, 35, (1) (2006) View citations (151)
- Hedging and Value in the U.S. Airline Industry
Journal of Applied Corporate Finance, 2006, 18, (4), 21-33 View citations (105)
2005
- Does Risk Management Add Value? A Survey of the Evidence
Journal of Applied Corporate Finance, 2005, 17, (3), 8-17 View citations (38)
- Interaction between real options and financial hedging: Fact or fiction in managerial decision-making
Review of Financial Economics, 2005, 14, (3-4), 353-369 View citations (21)
- The Rise and Evolution of the Chief Risk Officer: Enterprise Risk Management at Hydro One
Journal of Applied Corporate Finance, 2005, 17, (3), 62-75 View citations (17)
2004
- Board Composition And Corporate Use Of Interest Rate Derivatives
Journal of Financial Research, 2004, 27, (2), 199-216 View citations (44)
- The market's reaction to unexpected, catastrophic events: the case of airline stock returns and the September 11th attacks
The Quarterly Review of Economics and Finance, 2004, 44, (4), 539-558 View citations (47)
2003
- Corporate Governance, Board Diversity, and Firm Value
The Financial Review, 2003, 38, (1), 33-53 View citations (714)
2001
- Open book management--optimizing human capital
Business Horizons, 2001, 44, (5), 5-13 View citations (2)
- Operational Hedges and the Foreign Exchange Exposure of U.S. Multinational Corporations
Journal of International Business Studies, 2001, 32, (4), 793-812 View citations (101)
- “Calculating Funding Premiums for Universal Life Insurance,” Calvin Cherry, April 2000
North American Actuarial Journal, 2001, 5, (3), 118-122
2000
- An Analysis of Finance Journal Impact Factors
Journal of Finance, 2000, 55, (3), 1457-1469 View citations (27)
1994
- Journal Communication and Influence in Financial Research
Journal of Finance, 1994, 49, (2), 713-25 View citations (13)
Chapters
2015
- Energy Futures Markets
Chapter 13 in THE WORLD SCIENTIFIC HANDBOOK OF FUTURES MARKETS, 2015, pp 407-434
2013
- Does hedging reduce economic exposure? Hurricanes, jet fuel prices and airlines
Chapter 14 in Handbook of Research Methods and Applications in Empirical Finance, 2013, pp 341-354 View citations (1)
Editor
- Journal of Commodity Markets
Elsevier
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