1998年沃顿商学院美国非金融企业金融风险管理调查

1998 Wharton Survey of Financial Risk Management by US Non-Financial Firms

Financial Management · 1998
被引 576 · 同刊同年前 2%
人大 A-ABS 3

中文导读

这是沃顿商学院对美国非金融企业金融风险管理实践的第三次调查,与CIBC世界市场合作,新增了衍生品使用和风险管理实践的问题,并比较了历次调查结果的变化。

Abstract

This is the third in a series of surveys on financial risk management practice and derivatives use by non-financial corporations in the United States undertaken by the Wharton School. This 1998 survey, written in partnership again with CIBC World Markets, extends the previous two surveys by asking new questions about certain aspects of derivative use and risk management practice. This report compares responses across the various surveys and notes changes in responses over time. A tabulation of the responses to all questions is included in the appendix.

金融风险管理衍生品使用非金融企业美国