Items where Author is "Aretz, K"
Journal Article
Aretz, K and Pope, P F (2013) Common factors in default risk across countries and industries. European Financial Management, 19 (1). pp. 108-152. ISSN 1354-7798
Aretz, K and Shackleton, M B (2011) Omitted debt risk, financial distress and the cross-section of expected equity returns. Journal of Banking and Finance, 35 (5). pp. 1213-1227. ISSN 0378-4266
Aretz, K and Bartram, S (2010) Corporate hedging and shareholder value. Journal of Financial Research, 33 (4). pp. 317-371. ISSN 0270-2592
Aretz, K and Peel, D (2010) Spreads vs professional forecasters as predictors of future output change. Journal of Forecasting, 29 (6). pp. 517-522. ISSN 0277-6693
Aretz, K and Bartram, S and Dufey, G (2007) Why hedge? Rationales for corporate hedging and value implications. The Journal of Risk Finance, 8 (5). pp. 434-449. ISSN 1526-5943
Monograph
Aretz, K and Bartram, S and Dufey, G (2007) Why hedge? Rationales for corporate hedging and value implications. Working Paper. The Department of Accounting and Finance, Lancaster University.