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Alain Krapl
Alain Krapl
Associate Professor of Finance, Northern Kentucky University
Verified email at nku.edu
Title
Cited by
Cited by
Year
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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