Adjusting Stock Market Values to Exchange Rate Exposure: The Case of ASTRA, SCA and STORA.

dc.contributor.authorRolseth, Larsswe
dc.contributor.departmentDepartment of Economicsswe
dc.date.accessioned2006-11-30swe
dc.date.accessioned2007-02-09T11:14:24Z
dc.date.available2007-02-09T11:14:24Z
dc.date.issued1998swe
dc.description.abstractEurope's two largest forest product companies SCA and STORA are located in Sweden. One of the largest firms in Sweden is ASTRA, which is a pharmaceutical company. In this paper I analyze how the variance of these firms' values and their stock returns sensitivity to exchange rates and interest rates are affected by different hedging strategies. First are new share price series constructed there gains and losses due to not undertake any hedging practices for transaction and translation exposure are realized. There after are the exposure coefficients obtained from the adjusted share price compared to the exposure coefficients obtained using the firms core share price as a dependent variable. The results show that SCA and STORA manage to reduce the exchange rate exposure significantly, but that both SCA and STORA´s stock return are still sensitive to contemporaneous changes in exchange rates. The linear multiple regression method was unable to detect any significant exchange rate exposure for ASTRA. However, the hedging of translation and transaction exposure do not necessarily imply that the variance of the firm's value is reduced.swe
dc.format.extent24 pagesswe
dc.format.extent75382 bytes
dc.format.mimetypeapplication/pdf
dc.gup.epcid2052swe
dc.gup.originGöteborg University. School of Business, Economics and Lawswe
dc.identifier.urihttp://hdl.handle.net/2077/2682
dc.language.isoenswe
dc.relation.ispartofseriesWorking Papers in Economics, nr 1998:6swe
dc.subjectTransaction exposure; Translation exposure; Hedging strategiesswe
dc.subject.svepEconomicsswe
dc.titleAdjusting Stock Market Values to Exchange Rate Exposure: The Case of ASTRA, SCA and STORA.swe
dc.type.svepReportswe

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