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Details about Betty J. Simkins

Homepage:http://spears.okstate.edu/~simkins
Workplace:Department of Finance, Spears School of Business, Oklahoma State University, (more information at EDIRC)

Access statistics for papers by Betty J. Simkins.

Last updated 2019-02-22. Update your information in the RePEc Author Service.

Short-id: psi765


Jump to Journal Articles Chapters Editor

Journal Articles

2018

  1. Terrorism and oil markets: A cross-sectional evaluation
    Finance Research Letters, 2018, 24, (C), 42-48 Downloads View citations (2)

2017

  1. A review of the literature on commodity risk management
    Journal of Commodity Markets, 2017, 8, (C), 1-17 Downloads View citations (8)

2016

  1. Journal influence in corporate research
    Managerial Finance, 2016, 42, (4), 376-389 Downloads View citations (1)
  2. 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 Downloads View citations (2)
  3. The challenges of and solutions for implementing enterprise risk management
    Business Horizons, 2016, 59, (6), 689-698 Downloads View citations (8)
  4. The market’s reaction to unexpected, catastrophic events: The case of oil and gas stock returns and the Gulf oil spill
    Journal of Risk Finance, 2016, 17, (1), 2-25 Downloads

2015

  1. 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 Downloads View citations (3)

2014

  1. Does Operational and Financial Hedging Reduce Exposure? Evidence from the U.S. Airline Industry
    The Financial Review, 2014, 49, (1), 149-172 Downloads View citations (11)
  2. Exposure, hedging, and value: New evidence from the U.S. airline industry
    International Review of Financial Analysis, 2014, 34, (C), 200-211 Downloads View citations (10)
  3. Options on Troubled Stock
    Journal of Futures Markets, 2014, 34, (7), 637-657 Downloads

2012

  1. A comparative study of the probability of default for global financial firms
    Journal of Banking & Finance, 2012, 36, (3), 717-732 Downloads View citations (5)
  2. Diversification revisited
    Research in International Business and Finance, 2012, 26, (2), 304-316 Downloads View citations (6)

2011

  1. A framework for journal assessment: The case of the Journal of Banking & Finance
    Journal of Banking & Finance, 2011, 35, (1), 1-6 Downloads View citations (6)
  2. 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

  1. Analyst forecasts and price discovery in futures markets: The case of natural gas storage
    Journal of Futures Markets, 2009, 29, (5), 451-477 Downloads View citations (15)

2007

  1. Ten Common Misconceptions About Enterprise Risk Management
    Journal of Applied Corporate Finance, 2007, 19, (4), 75-81 Downloads View citations (2)

2006

  1. Asymmetric information and credit quality: Evidence from synthetic fixed‐rate financing
    Journal of Futures Markets, 2006, 26, (6), 595-625 Downloads View citations (1)
  2. Does Hedging Affect Firm Value? Evidence from the US Airline Industry
    Financial Management, 2006, 35, (1), 53-86 Downloads View citations (100)
    Also in Financial Management, 2006, 35, (1) (2006) View citations (98)
  3. Hedging and Value in the U.S. Airline Industry
    Journal of Applied Corporate Finance, 2006, 18, (4), 21-33 Downloads View citations (10)

2005

  1. Does Risk Management Add Value? A Survey of the Evidence
    Journal of Applied Corporate Finance, 2005, 17, (3), 8-17 Downloads View citations (29)
  2. Interaction between real options and financial hedging: Fact or fiction in managerial decision-making
    Review of Financial Economics, 2005, 14, (3-4), 353-369 Downloads View citations (17)
  3. 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 Downloads View citations (15)

2004

  1. Board Composition And Corporate Use Of Interest Rate Derivatives
    Journal of Financial Research, 2004, 27, (2), 199-216 Downloads View citations (24)
  2. 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 Downloads View citations (31)

2003

  1. Corporate Governance, Board Diversity, and Firm Value
    The Financial Review, 2003, 38, (1), 33-53 Downloads View citations (317)

2001

  1. Open book management--optimizing human capital
    Business Horizons, 2001, 44, (5), 5-13 Downloads View citations (2)
  2. Operational Hedges and the Foreign Exchange Exposure of U.S. Multinational Corporations
    Journal of International Business Studies, 2001, 32, (4), 793-812 Downloads View citations (67)
  3. “Calculating Funding Premiums for Universal Life Insurance,” Calvin Cherry, April 2000
    North American Actuarial Journal, 2001, 5, (3), 118-122 Downloads

2000

  1. An Analysis of Finance Journal Impact Factors
    Journal of Finance, 2000, 55, (3), 1457-1469 Downloads View citations (16)

1994

  1. Journal Communication and Influence in Financial Research
    Journal of Finance, 1994, 49, (2), 713-25 Downloads View citations (10)

Chapters

2015

  1. Energy Futures Markets
    Chapter 13 in THE WORLD SCIENTIFIC HANDBOOK OF FUTURES MARKETS, 2015, pp 407-434 Downloads

2013

  1. 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 Downloads View citations (1)

Editor

  1. Journal of Commodity Markets
    Elsevier
 
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