Chapter 19: Exchange Rate Risk Management
References and Attributions
References
Borad, S.B. (2022). Economic exposure. eFinanceManagement. https://efinancemanagement.com/international-financial-management/economic-exposure
Danani, R. (2024). Translation exposure. WallStreetOasis. https://www.wallstreetoasis.com/resources/skills/accounting/translation-exposure
Mehta, K. (2024). Transaction exposure. WallStreetMojo. https://www.wallstreetmojo.com/transaction-exposure/
Moledina et.al. (2014). Principles of macroeconomics (2nd ed.). Openstax. https://openstax.org/books/principles-macroeconomics-3e/pages/16-3-macroeconomic-effects-of-exchange-rates
International Finance Tutorial. (n.d.). Tutorials Point. https://www.tutorialspoint.com/international_finance/index.htm
Attributions
“Chapter 19: Exchange Rate Risk Management” is an adaptation of “20.3 Exchange Rates and Risk” from Principles of Finance by Julie Dahlquist & Rainford Knight, published by OpenStax – Rice University and licensed under a Creative Commons Attribution 4.0 International License, except where otherwise noted. Access “Principles of Finance” for free.
Chapter Opening Photo: “black android smartphone turned on screen” by Marga Santoso is used under the Unsplash license.