Keywords: Managerial risk aversion
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Journal Articles
Management Research Review (2018) 41 (4): 453–486.
Published: 09 April 2018
...; as a consequence of managerial risk aversion where managers hedge to reduce their own stocks and options (compensation) portfolio risks; and to take advantage of derivatives benefits provided through convex tax structures. Therefore, in any study where financial derivatives is the dependent variable...

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