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Dynamic risk management

Publication ,  Journal Article
Rampini, AA; Sufi, A; Viswanathan, S
Published in: Journal of Financial Economics
February 1, 2014

Both financing and risk management involve promises to pay that need to be collateralized, resulting in a financing versus risk management trade-off. We study this trade-off in a dynamic model of commodity price risk management and show that risk management is limited and that more financially constrained firms hedge less or not at all. We show that these predictions are consistent with the evidence using panel data for fuel price risk management by airlines. More constrained airlines hedge less both in the cross section and within airlines over time. Risk management drops substantially as airlines approach distress and recovers only slowly after airlines enter distress. © 2013 Elsevier B.V.

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Published In

Journal of Financial Economics

DOI

ISSN

0304-405X

Publication Date

February 1, 2014

Volume

111

Issue

2

Start / End Page

271 / 296

Related Subject Headings

  • Finance
  • 3801 Applied economics
  • 3502 Banking, finance and investment
  • 1606 Political Science
  • 1502 Banking, Finance and Investment
  • 1402 Applied Economics
 

Citation

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Rampini, A. A., Sufi, A., & Viswanathan, S. (2014). Dynamic risk management. Journal of Financial Economics, 111(2), 271–296. https://doi.org/10.1016/j.jfineco.2013.10.003
Rampini, A. A., A. Sufi, and S. Viswanathan. “Dynamic risk management.” Journal of Financial Economics 111, no. 2 (February 1, 2014): 271–96. https://doi.org/10.1016/j.jfineco.2013.10.003.
Rampini AA, Sufi A, Viswanathan S. Dynamic risk management. Journal of Financial Economics. 2014 Feb 1;111(2):271–96.
Rampini, A. A., et al. “Dynamic risk management.” Journal of Financial Economics, vol. 111, no. 2, Feb. 2014, pp. 271–96. Scopus, doi:10.1016/j.jfineco.2013.10.003.
Rampini AA, Sufi A, Viswanathan S. Dynamic risk management. Journal of Financial Economics. 2014 Feb 1;111(2):271–296.
Journal cover image

Published In

Journal of Financial Economics

DOI

ISSN

0304-405X

Publication Date

February 1, 2014

Volume

111

Issue

2

Start / End Page

271 / 296

Related Subject Headings

  • Finance
  • 3801 Applied economics
  • 3502 Banking, finance and investment
  • 1606 Political Science
  • 1502 Banking, Finance and Investment
  • 1402 Applied Economics