Why FX Risk Management Is Broken–and What Boards Need to Know to Fix It
Håkan Jankensgård,
Alf Alviniussen and
Lars Oxelheim
Journal of Applied Corporate Finance, 2016, vol. 28, issue 1, 46-61
Date: 2016
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Working Paper: Why FX Risk Management Is Broken – And What Boards Need to Know to Fix It (2015) 
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