Håkan Jankensgård

Senior Lecturer, Associate professor, PhD
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  1. 2020
  2. Risk Shifting or Risk Management: How do Firms Hedge in Financial Distress?

    Niclas Andrén, Evan Dudley & Håkan Jankensgård, 2020 Oct 23, (Unpublished). 49 p.

    Research output: Contribution to conferencePaper, not in proceeding

  3. Derivative Cash Flows and Corporate Investment

    Håkan Jankensgård & Reda Moursli, 2020, In: Journal of Banking & Finance. 119, 105916.

    Research output: Contribution to journalArticle

  4. 2019
  5. Financial Distress, Risk Shifting, and the Use of Options

    Niclas Andrén, Håkan Jankensgård & Evan Dudley, 2019.

    Research output: Contribution to conferencePaper, not in proceeding

  6. 2018
  7. The Shareholder Base Hypothesis of Stock Return Volatility: Empirical Evidence

    Håkan Jankensgård & Anders Wilhelmsson, 2018 Mar 7, In: Financial Management. 47, 1, p. 55-79 25 p.

    Research output: Contribution to journalArticle

  8. Reappearing Investment-Cash Flow Sensitivities

    Niclas Andrén & Håkan Jankensgård, 2018.

    Research output: Contribution to conferenceOther

  9. 2017
  10. CEO Age, Risk Incentives, and Hedging Strategy

    Ettore Croci, Alfonso del Guidice & Håkan Jankensgård, 2017, In: Financial Management. p. 687–716

    Research output: Contribution to journalArticle

  11. 2016
  12. Why FX Risk Management Is Broken–and What Boards Need to Know to Fix It

    Håkan Jankensgård, Lars Oxelheim & Alf Alviniussen, 2016 Apr 27, In: Journal of Applied Corporate Finance. 28, 1, p. 46-61 16 p., 28.

    Research output: Contribution to journalArticle

  13. 2015
  14. Does Centralisation of FX Derivative Usage Impact Firm Value?

    Håkan Jankensgård, 2015, In: European Financial Management. 21, 2, p. 309-332

    Research output: Contribution to journalArticle

  15. The Relationship between Voluntary Disclosure, External Financing, and Financial Status

    Håkan Jankensgård, 2015, (Journal of Business Finance & Accounting; vol. Forthcoming).

    Research output: Working paper

  16. Walking the Walk: Inside Ownership and Selective Hedging

    Håkan Jankensgård, 2015, (Unpublished).

    Research output: Working paper

  17. 2014
  18. A Tale of Beauties and Beasts: Testing the Optimal Disclosure Hypothesis

    Håkan Jankensgård, 2014, In: Multinational Finance Journal. 18, 1/2, p. 139-167 29 p.

    Research output: Contribution to journalArticle

  19. A Tide of Cash: Corporate Governance and the Management of Large Cash Windfalls

    Håkan Jankensgård & Niclas Andrén, 2014, (Unpublished) (Knut Wicksell Centre for Financial Studies Working Paper series).

    Research output: Working paper

  20. CEO age, risk incentives, and hedging instrument choice

    Ettore Croci & Håkan Jankensgård, 2014, Knut Wicksell Centre for Financial Studies, Lund University, 46 p. (Knut Wicksell Working Paper Series, Lund University; vol. 3).

    Research output: Working paper

  21. Derivative Usage, Risk Disclosure, and Firm Value

    Håkan Jankensgård, 2014, In: Journal of Accounting and Finance. 14, 5, p. 159-174

    Research output: Contribution to journalArticle

  22. Value and Risk: Enterprise Risk Management in Statoil

    Alf Alviniussen & Håkan Jankensgård, 2014, Implementing Enterprise Risk Management: Case Studies and Best Practices. John Wiley and Sons, p. 59-74

    Research output: Chapter in Book/Report/Conference proceedingBook chapter

  23. 2013
  24. A Wall of Cash - The Investment Cash Flow-Sensitivity when Capital Becomes Abundant

    Håkan Jankensgård & Niclas Andrén, 2013, School of Economics and Management, Lund University, 30 p. (Knut Wicksell Working Paper Series; vol. 17).

    Research output: Working paper

  25. 2012
  26. Exposure-Based Cash-Flow-at Risk for Value Creating Risk Management under Macroeconomic Uncertainty

    Niclas Andrén, Håkan Jankensgård & Lars Oxelheim, 2012, The Strategic CFO - Creating Value in a Dynamic Market Environment. Hommel, U., Fabich, M. & Schellenberg, E. (eds.). Springer

    Research output: Chapter in Book/Report/Conference proceedingBook chapter

  27. 2011
  28. Asset Illiquidity and Corporate Hedging

    Håkan Jankensgård & Björn Hagströmer, 2011, (Unpublished) p. Deparment of Business Administration.

    Research output: Working paper

  29. Essays on Corporate Risk Management

    Håkan Jankensgård, 2011, 264 p.

    Research output: ThesisDoctoral Thesis (compilation)

  30. 2010
  31. Measuring Corporate Liquidity Risk

    Håkan Jankensgård, 2010, In: Journal of Applied Corporate Finance. 22, 4, p. 103-109

    Research output: Contribution to journalArticle

  32. 2009
  33. 2008
  34. Cash-Flow-at-Risk and Debt Capacity

    Håkan Jankensgård, 2008, (Unpublished) Lund Institute of Economic Research.

    Research output: Working paper

  35. 2007
  36. Risk Management Strategies in Financial Distress

    Niclas Andrén & Håkan Jankensgård, 2007, (Unpublished).

    Research output: Contribution to conferencePaper, not in proceeding

  37. 2005
  38. Exposure-Based Cash-Flow-at-Risk under Macroeconomic Uncertainty

    Niclas Andrén, Lars Oxelheim & Håkan Jankensgård, 2005.

    Research output: Contribution to conferencePaper, not in proceeding