This paper presents the results of an empirical investigation into the capital budgeting practices of UK multinationals for foreign direct investment, with particular reference to the use of a conceptual framework of risk and return. Drawing upon Robock's (1965) criticisms of the lack of a conceptual framework for businessmen within which to make international financing and capital budgeting decisions, we assess briefly the developments in the theoretical framework of risk and return since Robock's address. We then review the existing empirical literature (mainly from America) and combine this with our own research involving 59 UK multinationals, to conclude that the developments in the theoretical framework of risk and return have not been translated into practice. We offer suggestions as to why this is the case.
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1 February 1990
Review Article|
February 01 1990
EMPIRICAL EVIDENCE OF THE USE OF A FRAMEWORK OF RISK AND RETURN IN CAPITAL BUDGETING FOR FOREIGN DIRECT INVESTMENT
Mark Wilson
Mark Wilson
Senior Lecturer, Department of Accounting and Finance, Nottingham Polytechnic
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Publisher: Emerald Publishing
Online ISSN: 1758-7743
Print ISSN: 0307-4358
© MCB UP Limited
1990
Managerial Finance (1990) 16 (2): 25–34.
Citation
Wilson M (1990), "EMPIRICAL EVIDENCE OF THE USE OF A FRAMEWORK OF RISK AND RETURN IN CAPITAL BUDGETING FOR FOREIGN DIRECT INVESTMENT". Managerial Finance, Vol. 16 No. 2 pp. 25–34, doi: https://doi.org/10.1108/eb013642
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