一、中文部分
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林佳瑾,2004,台灣上市公司匯率風險與避險因子,國立台灣大學國際企業學研究所碩士論文。陳怡萍,1999,匯率自由化後台灣上市公司外匯風險暴露之實證研究,國立台灣大學財務金融研究所碩士論文。高鐵梅主編,2006,計量經濟分析方法與建模:EViews應用及實例,北京清華大學出版社。
陶湘主編,2001,外匯風險管理實務,五南圖書出版股份有限公司。
何憲章,1991,國際財務管理:理論與實務,台北三民書局。
二、英文部分
Adler, Michael, and Bernard Dumas, 1984, Exposure to currency risk: Definition and measurement, Financial Management 13 (2), 41–50.
Allayannis, George, and Eli Ofek, 2001, Exchange rate exposure, hedging, and the use of foreign currency derivatives, Journal of International Money and Finance 20 (2), 273–296.
Bartram, Söhnke M., 2004, Linear and nonlinear foreign exchange rate exposures of German nonfinancial corporations, Journal of International Money and Finance 23 (4), 673–699.
Bodnar, Gordon M., and Willian M. Gentry, 1993, Exchange rate exposure and industry characteristics: Evidence from Canada, Japan, and the USA, Journal of International Money and Finance 12 (1), 29–45.
Cragg, John. G., 1971, Some statistical models for limited dependent variables with application to the demand for durable goods, Econometrica 39 (5), 829–844.
Froot, Kenneth A., David S. Scharfstein, and Jeremy C. Stein, 1993, Risk management: Coordinating corporate investment and financing policies, Journal of Finance 48 (5), 1629–1658.
Géczy, Christopher, Bernadette A. Minton, and Catherine Schrand, 1997, Why firms use currency derivatives, Journal of Finance 52 (4), 1323–1354.
He, Jia., and Lilian K. Ng, 1998, The foreign exchange exposure of Japanese multinational corporations, Journal of Finance 53 (2), 733–754.
Houston, Carol Olson, and Gerhard G. Mueller, 1988, Foreign exchange rate hedging and SFAS no. 52—relatives or strangers, Accounting Horizons 2 (4), 50–57.
Jorion, Philippe, 1990, The exchange-rate exposure of U.S. multinationals, Journal of Business 63 (3), 331–345.
Meese, Richard A. and Kenneth Rogoff, 1983, Empirical exchange rate models of the seventies: Do they fit out of sample, Journal of International Economics 14 (1), 3–24.
Miller, Kent D., and Jeffrey J. Reuer, 1998, Firm strategy and economic exposure to foreign exchange rate movements, Journal of International Business Studies 29 (3), 493–513.
Nance, Deana R., Clifford W. Smith JR., and Charles W. Smithson, 1993, On the determinants of corporate hedging, Journal of Finance 48 (1), 267–284.
Smith, Clifford W., and René M. Stulz, 1985, The determinants of firms’ hedging policies, Journal of Financial and Quantitative Analysis 20 (4), 391–405.
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Williamson, Rohan, 2001, Exchange rate exposure and competition: Evidence from the automotive industry, Journal of Financial Economics 59 (3), 441–475.
Deutsche Börse Group – http://deutsche-boerse.com/, 2008.06.07
European Central Bank – http://www.ecb.int/, 2008.06.07
Federation of European Securities Exchange – http://www.fese.be/en/, 2008.06.07