Academic literature on the topic 'Metallgesellschaft Metallgesellschaft'

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Journal articles on the topic "Metallgesellschaft Metallgesellschaft"

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Culp, Christopher L., and Merton H. Miller. "METALLGESELLSCHAFT AND THE ECONOMICS OF SYNTHETIC STORAGE." Journal of Applied Corporate Finance 7, no. 4 (January 1995): 62–76. http://dx.doi.org/10.1111/j.1745-6622.1995.tb00263.x.

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Pirrong, Stephen Craig. "Metallgesellschaft: A prudent hedger ruined, or a wildcatter on NYMEX?" Journal of Futures Markets 17, no. 5 (August 1997): 543–78. http://dx.doi.org/10.1002/(sici)1096-9934(199708)17:5<543::aid-fut3>3.0.co;2-f.

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Mello, Antonio S., and John E. Parsons. "MATURITY STRUCTURE OF A HEDGE MATTERS: LESSONS FROM THE METALLGESELLSCHAFT DEBACLE." Journal of Applied Corporate Finance 8, no. 1 (March 1995): 106–21. http://dx.doi.org/10.1111/j.1745-6622.1995.tb00279.x.

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Tricker, Bob. "German Two Tier Boards and Bank Share Holdings - The Case of Metallgesellschaft." Corporate Governance: An International Review 2, no. 3 (July 1994): 123. http://dx.doi.org/10.1111/j.1467-8683.1994.tb00066.x.

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Doran, James S., and Ehud I. Ronn. "Hedging Long-Dated Oil Futures and Options Using Short-Dated Securities—Revisiting Metallgesellschaft." Journal of Risk and Financial Management 14, no. 8 (August 16, 2021): 379. http://dx.doi.org/10.3390/jrfm14080379.

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Since the collapse of the Metallgesellschaft AG due to hedging losses in 1993, energy practitioners have been concerned with the ability to hedge long-dated linear and non-linear oil liabilities with short-dated futures and options. This paper identifies a model-free non-parametric approach to extrapolating futures prices and implied volatilities. When we expand the analysis to implementing hedge portfolios for long-dated futures or option contracts over the time period 2007–2017, we utilize the useful benchmark of hedge ratios arising from Schwartz and Smith. With respect to the empirical consequences of hedging long-dated futures and options with their short-dated counterparts, we find that the long-term tracking errors are, on average, quite close to zero, but there is increasing risk entailed in attempting to do so, as the hedge-tracking errors for both futures and option contracts increase with time-to-maturity.
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Frankel, Allen B., and David E. Palmer. "The Management of Financial Risks at German Nonfinancial Firms : The Case of Metallgesellschaft." International Finance Discussion Paper 1996, no. 560 (August 1996): 1–43. http://dx.doi.org/10.17016/ifdp.1996.560.

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Edwards, Franklin R., and Michael S. Canter. "THE COLLAPSE OF METALLGESELLSCHAFT: UNHEDGEABLE RISKS, POOR HEDGING STRATEGY, OR JUST BAD LUCK?" Journal of Applied Corporate Finance 8, no. 1 (March 1995): 86–105. http://dx.doi.org/10.1111/j.1745-6622.1995.tb00278.x.

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Edwards, Franklin R., and Michael S. Canter. "The collapse of Metallgesellschaft: Unhedgeable risks, poor hedging strategy, or just bad luck?" Journal of Futures Markets 15, no. 3 (May 1995): 211–64. http://dx.doi.org/10.1002/fut.3990150302.

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Jayaraman, Narayanan, Sanjiv Sabherwal, and Milind Shrikhande. "Do Country Specific Bankruptcy Codes Determine Long-term Financial Performance? The Case of Metallgesellschaft AG and Columbia Gas System." Journal of International Financial Management and Accounting 12, no. 2 (June 2001): 188–224. http://dx.doi.org/10.1111/1467-646x.00071.

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Shin, Yong Jae, and Unyong Pyo. "Liquidity hedging with futures and forward contracts." Studies in Economics and Finance 36, no. 2 (June 24, 2019): 265–90. http://dx.doi.org/10.1108/sef-04-2018-0109.

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Purpose This paper aims to develop hedging strategies using both futures and forward contracts and issuing risky debt when financially constrained firms are forced to operate in long horizon. Design/methodology/approach The authors present a model for developing hedging strategies using both futures and forward contracts and issuing risky debt. A theoretical model employing stochastic differential equations for forward hedging is illustrated with a numerical example over parameter values consistent with the literature. Findings A financially constrained firm with limited cash balance must hedge its liquidity with both future and forward contracts and issue risky debt to support its long-term operations. The firm can issue a minimal amount of risky debt by adding forward contracts into hedging and can increase its value higher than that when hedging with only futures contracts. We show numerically that hedging with both futures and forward contracts allows the firm to issue minimal risky debt in increasing its firm value. Practical implications When Metallgesellschaft nearly collapsed in 1993, it offered long-term forward contracts to its customers and attempted to hedge its risk by rolling over series of short-term futures contract. It created the situation of inherent mismatch in maturity structure. A financially constrained firm operating in a long horizon appears to commit its liquidity as long-term forward contracts, which cannot be fully hedged with series of futures contacts. The firm should hedge its liquidity with both futures and forward contracts and avoid liquidation with deadweight costs in its long-term operation. Originality/value This is the first study examining hedging strategies with both futures and forward contracts.
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Dissertations / Theses on the topic "Metallgesellschaft Metallgesellschaft"

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Reichel, Clemens. "Vom Verbund zum Konzern : die Metallgesellschaft AG 1945 - 1975." Darmstadt Hessisches Wirtschaftsarchiv, 2008. http://bvbr.bib-bvb.de:8991/F?func=service&docl̲ibrary=BVB01&docn̲umber=016986507&linen̲umber=0001&funcc̲ode=DBR̲ECORDS&servicet̲ype=MEDIA.

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Kropp, Matthias. "Management und Controlling finanzwirtschaftlicher Risikopositionen : einschliesslich einer Fallstudie zu den Öltermingeschäften der Metallgesellschaft /." Bad Soden/Ts : Uhlenbruch, 1999. http://aleph.unisg.ch/hsgscan/hm00014093.pdf.

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Hampejs, Michal. "Komoditní deriváty." Master's thesis, Vysoká škola ekonomická v Praze, 2007. http://www.nusl.cz/ntk/nusl-4570.

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The purpose of this thesis is to examine the use of commodity derivatives in the oil market. The thesis itself is divided into two main parts - theoretical and practical. The theoretical part is mainly focusing on the description of commodity derivatives in the oil market and the explanation of the mechanism of most often used derivative contracts. The second and more practical part of the thesis examine the use of these derivatives and all benefits and risks associated with trading in commodity derivatives. The potential threats arising from using derivatives as oil market contracts are explained on the example of corporate trading strategy of Matallgesellschaft AG.
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Reichelt, Harald. "Die Institution des Aufsichtsrates in der deutschen Aktiengesellschaft : Reformüberlegungen aus historischer Perspektive /." Stuttgart : in Kommission bei F. Steiner, 1998. http://catalogue.bnf.fr/ark:/12148/cb37120413c.

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Becker, Susan. ""Multinationalität hat verschiedene Gesichter" : Formen internationaler Unternehmenstätigkeit der Société Anonyme des Mines et Fonderies de Zinc de la Vieille Montagne und der Metallgesellschaft vor 1914 /." Stuttgart : Steiner, 2002. http://hsozkult.geschichte.hu-berlin.de/rezensionen/2003-2-160.

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Books on the topic "Metallgesellschaft Metallgesellschaft"

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Der Machtkampf: Der Fall Metallgesellschaft und die Deutsche Bank. Düsseldorf: Econ, 1997.

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Jähnig, Jörgen. Strategies of corporate management and the case of Metallgesellschaft. Northampton: Nene College, 1996.

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Das konzerneigene Bankinstitut der Metallgesellschaft im Zeitraum von 1906 bis 1928: Programmatischer Anspruch und Realisierung. Stuttgart: F. Steiner, 1998.

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Becker, Susan. 'Multinationalität hat verschiedene Gesichter': Formen internationaler Unternehmenstätigkeit der Société anonyme des mines et fonderies de zinc de la Vieille Montagne und der Metallgesellschaft vor 1914. Stuttgart: Steiner, 2002.

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Aktuelle Vergleichsverfahren in Deutschland: Eine ökonomische Analyse. Frankfurt am Main: P. Lang, 2000.

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Knipp, Thomas. Der Machtkampf: Der Fall Metallgesellschaft und die Deutsche Bank. Econ, 1998.

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Knipp, Thomas. Der Machtkampf. Der Fall Metallgesellschaft und die Deutsche Bank. Econ Tb., 1999.

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L, Culp Christopher, and Miller Merton H, eds. Corporate hedging in theory and practice: Lessons from Metallgesellschaft. London: Risk Books, 1999.

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Merger Decision No. IV/M.834 - Metallgesellschaft/Safic Alcan (II) (English). The Stationery Office Books (Agencies), 1997.

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Ltd, ICON Group. METALLGESELLSCHAFT AG: International Competitive Benchmarks and Financial Gap Analysis (Financial Performance Series). 2nd ed. Icon Group International, Inc., 2000.

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Book chapters on the topic "Metallgesellschaft Metallgesellschaft"

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Kniese, Georg. "Die Krise der Metallgesellschaft." In Futureshedging auf Ölmärkten, 25–37. Wiesbaden: Deutscher Universitätsverlag, 1997. http://dx.doi.org/10.1007/978-3-322-95235-6_3.

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Tietz, Jürgen D. "Umweltschutz in der Konzernstrategie der Metallgesellschaft AG." In Strategisches Management global, 122–25. Wiesbaden: Gabler Verlag, 1993. http://dx.doi.org/10.1007/978-3-322-89350-5_13.

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"METALLGESELLSCHAFT." In Global Derivative Debacles, 73–96. WORLD SCIENTIFIC, 2015. http://dx.doi.org/10.1142/9789814663267_0006.

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"METALLGESELLSCHAFT." In Global Derivative Debacles, 73–96. WORLD SCIENTIFIC, 2010. http://dx.doi.org/10.1142/9789812837714_0006.

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"Metallgesellschaft (1993)." In The Economic Foundations of Risk Management, 141–45. WORLD SCIENTIFIC, 2016. http://dx.doi.org/10.1142/9789813147522_0017.

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"Chapter 3. Metallgesellschaft AG." In Risk Takers, 51–76. De Gruyter, 2018. http://dx.doi.org/10.1515/9781547400034-003.

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"Entwurf eines Mehrjahre-Abschlusses. Dargestellt am Beispiel einer geldwertbereinigten 6-Jahre-Schlußbilanz und -Erfolgsrechnung der Metallgesellschaft AG zum 30.09.1993." In Umbruch und Wandel. Herausforderungen zur Jahrhundertwende, 469–84. Oldenbourg Wissenschaftsverlag, 1996. http://dx.doi.org/10.1515/9783486788303-035.

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