Hostname: page-component-848d4c4894-m9kch Total loading time: 0 Render date: 2024-06-05T11:12:04.608Z Has data issue: false hasContentIssue false

Global Purchasing Power View of Exchange Risk

Published online by Cambridge University Press:  06 April 2009

Extract

The recent experience of increased volatility of exchange rates among major currencies coupled with highly unstable price levels necessitates a more fundamental understanding of exchange risk. This necessity is further enhanced by the increased internationalization of consumption, investment, and other aspects of economic activity.

Type
Research Article
Copyright
Copyright © School of Business Administration, University of Washington 1981

Access options

Get access to the full version of this content by using one of the access options below. (Log in options will check for institutional or personal access. Content may require purchase if you do not have access.)

References

REFERENCES

[1]Cox, D. R., and Miller, H. D.. The Theory of Stochastic Processes. London: Chapman and Hall (1972).Google Scholar
[2]Fama, E. F., and Farber, A.. “Money, Bonds, and Foreign Exchange.” American Economic Review (09 1979).Google Scholar
[3]Fisher, I.The Theory of Interest. New York: MacMillan (1930).Google Scholar
[4]Frankel, J. A.The Diversifiability of Exchange Risk.” Journal of International Economics, Vol. 9 (1979).CrossRefGoogle Scholar
[5]Grauer, F. L. A.; Litzenberger, R. H.; and Stehle, R. E.. “Sharing Rules and Equilibrium in an International Capital Market under Uncertainty.” Journal of Financial Economics, Vol. 3 (1976).CrossRefGoogle Scholar
[6]Kouri, P. J. K., and de Macedo, J. B.. “Exchange Rates and the International Adjustment Process.” Brookings Papers on Economic Activity, Vol. 1 (1978).Google Scholar
[7]Merton, R.Optimum Consumption and Portfolio Rules in a Continuous-Time Model.” Journal of Economic Theory, Vol. 3 (1971).CrossRefGoogle Scholar
[8]Solnik, B. H.European Capital Markets. New York: Lexington Books (1973).Google Scholar
[9]Solnik, B. H.. “International Parity Conditions and Exchange Risk: A Review.” Journal of Banking and Finance, Vol. 2 (1978).CrossRefGoogle Scholar