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Alain Krapl
Alain Krapl
Associate Professor of Finance, Northern Kentucky University
Adresse e-mail validée de nku.edu
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Corporate international diversification and risk
AA Krapl
International Review of Financial Analysis 37, 1-13, 2015
592015
Asymmetric foreign exchange cash flow exposure: A firm-level analysis
AA Krapl
Journal of Corporate Finance 44, 48-72, 2017
232017
Foreign exchange risk and the term-structure of industry costs of equity
A Krapl, C Giaccotto
Journal of International Money and Finance 51, 71-88, 2015
132015
The effects of fair value reporting on corporate foreign exchange exposures
A Krapl, R Salyer
Research in International Business and Finance 39, 215-238, 2017
92017
Direct versus indirect regression estimates of foreign exchange cash flow exposure
A Krapl, TJ O'Brien
International Review of Financial Analysis 37, 103-112, 2015
72015
Good news and bad news about firm‐level stock returns of internationally exposed firms
C Giaccotto, A Krapl
International Review of Finance 14 (4), 523-550, 2014
72014
Local, Global, and International CAPM: For Which Countries Does Model Choice Matter?
DD Ejara, AA Krapl, TJ O'Brien, S Ruiz de Vargas
Journal of Investment Management, 2nd Quarter, 18-04, 2020
62020
The time-varying diversifiability of corporate foreign exchange exposure
AA Krapl
Journal of Corporate Finance 65, 101506, 2020
52020
Estimating cost of equity: do you need to adjust for foreign exchange risk?
A Krapl, TJ O'Brien
Journal of International Financial Management & Accounting 27 (1), 5-25, 2016
52016
A comparison of FX exposure estimates with different control variables
A Krapl, TJ O’Brien
Applied financial economics 24 (6), 437-451, 2014
52014
Comparison of Cost of Equity Models: New International Evidence
DD Ejara, AA Krapl, TJ O'Brien, S Ruiz de Vargas
University of Connecticut School of Business Research Paper, 2018
42018
Executive pensions, risk-shifting, and foreign exchange exposure
AA Krapl, RS White
Research in International Business and Finance 38, 376-392, 2016
42016
Foreign exchange exposure, financial distress and bankruptcy
YS Kim, AA Krapl
한국재무학회 학술대회, 1282-1334, 2014
42014
Tax avoidance, tax risk, and the volatility of stock returns
AA Krapl, R Salyer, RS White
Tax Risk, and the Volatility of Stock Returns (May 28, 2020), 2020
32020
The time-varying diversifiability of corporate foreign exchange exposure
AA Krapl
Available at SSRN 3091718, 2019
12019
Estimating cost of equity: Global CAPM versus International CAPM around the world
D Ejara, A Krapl, TJ O'Brien, S Ruiz de Vargas
12014
The Foreign Exchange Risk Premium in the Cross-Section of Stock Returns: International Evidence
AA Krapl, A Varmaz
Available at SSRN 3493302, 2021
2021
DIRECT VERSUS INDIRECT ESTIMATES OF FOREIGN EXCHANGE CASH FLOW EXPOSURE
A Krapl, TJ O’Brien
2012
Essays in Foreign Exchange Exposure and International Finance
A Krapl
University of Connecticut, 2012
2012
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