Exposure to foreign exchange rate risk: a review of empirical evidences
Exposure to foreign exchange rate risk has become an increasingly important issue to investors and financial managers identical with the globalization of markets, and particularly in the wake of the events that occurred in the Asian financial markets. The impact of foreign exchange rate exposure o...
Saved in:
Main Authors: | , , |
---|---|
Format: | Article |
Language: | English |
Published: |
2017
|
Subjects: | |
Online Access: | http://repo.uum.edu.my/26252/1/JIFM%202%205%202017%2079%2091.pdf http://repo.uum.edu.my/26252/ https://journal-of-insurance-and-financial-management.com/index.php/JIFM/article/view/73 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Institution: | Universiti Utara Malaysia |
Language: | English |
id |
my.uum.repo.26252 |
---|---|
record_format |
eprints |
spelling |
my.uum.repo.262522019-07-25T02:56:28Z http://repo.uum.edu.my/26252/ Exposure to foreign exchange rate risk: a review of empirical evidences Omar, Abdullah Taufil Mohd, Kamarun Nisham Ahmad, Norzalina HJ Public Finance Exposure to foreign exchange rate risk has become an increasingly important issue to investors and financial managers identical with the globalization of markets, and particularly in the wake of the events that occurred in the Asian financial markets. The impact of foreign exchange rate exposure on the value of the firm has been the subject of empirical literature for several decades. In recent times some empirical literature has also emerged. This study reviews the studies that investigate the exposure to currency risk of different economies. Both developing and developed economies has been subject to this study. It is concluded that most of the emerging and developing economies are exposed to higher level of foreign currency exposure. This is due to high level of openness and large amount of import and exports. In contrast, almost all closed and developed economies exhibits low level of exposure due to low amount of import and exports. 2017 Article PeerReviewed application/pdf en cc4_by http://repo.uum.edu.my/26252/1/JIFM%202%205%202017%2079%2091.pdf Omar, Abdullah and Taufil Mohd, Kamarun Nisham and Ahmad, Norzalina (2017) Exposure to foreign exchange rate risk: a review of empirical evidences. Journal of Insurance and Financial Management, 2 (5). pp. 79-91. ISSN 2371-2112 https://journal-of-insurance-and-financial-management.com/index.php/JIFM/article/view/73 |
institution |
Universiti Utara Malaysia |
building |
UUM Library |
collection |
Institutional Repository |
continent |
Asia |
country |
Malaysia |
content_provider |
Universiti Utara Malaysia |
content_source |
UUM Institutionali Repository |
url_provider |
http://repo.uum.edu.my/ |
language |
English |
topic |
HJ Public Finance |
spellingShingle |
HJ Public Finance Omar, Abdullah Taufil Mohd, Kamarun Nisham Ahmad, Norzalina Exposure to foreign exchange rate risk: a review of empirical evidences |
description |
Exposure to foreign exchange rate risk has become
an increasingly important issue to investors and
financial managers identical with the globalization of markets, and particularly in the wake of the events that occurred in the Asian financial markets. The impact of foreign exchange rate exposure on the value of the firm has been the subject of empirical literature for several decades. In recent times some empirical literature has also emerged. This study reviews the studies that investigate the exposure to currency risk of different economies. Both developing and developed economies has been subject to this study. It is concluded that most of the emerging and developing economies are exposed to higher level of foreign currency exposure. This is due to high level of openness and large amount of import and exports. In contrast, almost all closed and developed economies exhibits low level of exposure due to low amount of import and exports. |
format |
Article |
author |
Omar, Abdullah Taufil Mohd, Kamarun Nisham Ahmad, Norzalina |
author_facet |
Omar, Abdullah Taufil Mohd, Kamarun Nisham Ahmad, Norzalina |
author_sort |
Omar, Abdullah |
title |
Exposure to foreign exchange rate risk: a review of empirical evidences |
title_short |
Exposure to foreign exchange rate risk: a review of empirical evidences |
title_full |
Exposure to foreign exchange rate risk: a review of empirical evidences |
title_fullStr |
Exposure to foreign exchange rate risk: a review of empirical evidences |
title_full_unstemmed |
Exposure to foreign exchange rate risk: a review of empirical evidences |
title_sort |
exposure to foreign exchange rate risk: a review of empirical evidences |
publishDate |
2017 |
url |
http://repo.uum.edu.my/26252/1/JIFM%202%205%202017%2079%2091.pdf http://repo.uum.edu.my/26252/ https://journal-of-insurance-and-financial-management.com/index.php/JIFM/article/view/73 |
_version_ |
1644284549263261696 |