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Economics / Corporate finance / Financial risk management / Risk management / Hedge / Derivative / Market risk / Bankruptcy costs of debt / Capital structure / Financial economics / Finance / Financial risk


RETHINKING RISK MANAGEMENT by René M. Stulz, The Ohio State University*
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Document Date: 2010-12-07 14:39:02


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Company

Bank of America Rroundtable / Daimler / DaimlerBenz / Lukens Inc. / The Chase Manhattan Bank / MGRM / Procter & Gamble / Metallgesellschaft / RISK MANAGEMENT / BANK OF AMERICA JOURNAL / BancOne / /

Country

United States / /

Currency

USD / /

Event

Reorganization / Bankruptcy / /

IndustryTerm

star traders / finance literature / oil price / finance specialists / oil marketing subsidiary / finance theory / spot oil prices / stainless steel producer / finance / oil / large commercial bank / gold mining / oil price increases / crude oil / oil futures / bank / gold mining industry / risk-management tool / oil prices / /

Organization

Wharton School / International Association of Financial Engineers / French Finance Association / The Ohio State University / /

Person

Alberic Braas / Andrew Karolyi / Merton Miller / Kenneth Froot / John Van Roden / Clifford Smith / Steve Figlewski / Christopher Culp / Peter Tufano / David Scharfstein / Charles Bralver / Don Chew / Robert Whaley / Walter Dolde / Chris Culp / Jeremy Stein / René M. Stulz / /

Position

Chief Financial Officer / general financial health / risk manager / stainless steel producer / /

ProvinceOrState

Orange County / /

PublishedMedium

Journal of Finance / Journal of Financial and Quantitative Analysis / the Journal of Finance / /

SportsLeague

International Association / /

SocialTag