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GND: 1137340150


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risk managementrisk increasingfx exposurecorporate riskrisk decreasingconstant strategiesfirms managenon financialfinancial firmsir riskdecreasing riskincreasing constantcurrency specificfx riskmanage ratenew empiricalempirical evidenceregulatory environmenttreasury executiveshedging instrumentsdata granularityspecific fxprior benchmarkbenchmark lossesderivative usageinterest rate riskexchange rate riskforeign exchange managementrole managerialcharacteristics fxmanagement whowho increasesincreases riskrate exposure
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Years of publications: 1943 - 2024

The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata

Andreas Hecht


Dr. oec.

Profession

  • Economist
  • Affiliations

  • Zürcher Hochschule für Angewandte Wissenschaften. School of Management and Law
  • Universität Hohenheim. Institut für Financial Management
  • External links

  • Gemeinsame Normdatei (GND) im Katalog der Deutschen Nationalbibliothek
  • Open Researcher and Contributor ID (ORCID)
  • Deutsche Digitale Bibliothek
  • Virtual International Authority File (VIAF)


  • Publishing years

    1
      2024
    1
      2023
    2
      2021
    2
      2020
    4
      2019
    2
      2017

    Series

    1. White paper / Timber Finance Initiative (1)
    2. Hohenheim discussion papers in business, economics and social sciences (1)
    3. SSRN eLibrary (1)