Articles and Book Chapters in English Show in normal format 03 May 2024 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2024). “Perspectives on the Significance of Borders in Europe: Past Challenges, Future Developments”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The Borders of the European Union in a Conflictual World (1–21). Cham: Palgrave Macmillan. doi.org/10.1007/978-3-031-54200-8_1 03 May 2024 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2024). “The EU’s Internal and External Borders in a World Torn by Conflict”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The Borders of the European Union in a Conflictual World (261–283). Cham: Palgrave Macmillan. doi.org/10.1007/978-3-031-54200-8_11 18 November 2024 Ghauri, Pervez N., Lars Oxelheim and Trond Randøy (2024). “The Changed Geopolitical Map: Implications for Business Policy in a Sustainable Finance Perspective”. In Philippe Gugler and Ana Teresa Tavares-Lehmann (Eds.), Handbook on International Business Policy (170–189). Cheltenham: Edward Elgar Publishing. 02 May 2024 Hearn, Bruce, Lars Oxelheim and Trond Randøy (forthcoming). “The Impact of Indigenous Culture and Business Group Affiliation on Corporate Governance of African Firms”. Corporate Governance: An international Review 32(3), 449–473. doi.org/10.1111/corg.12547 04 September 2023 Afzali, Haroon, Minna Martikainen, Lars Oxelheim and Trond Randøy (2023). “On the Role of Internationalization of Firm-Level Corporate Governance: The Case of Audit Committees”. Corporate Governance: An International Review 31(5), 737–758. doi.org/10.1111/corg.12503 30 January 2023 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2023). “The Road Ahead for the European Union: Between Federal Union and Flexible Integration”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The EU Between Federal Union and Flexible Integration (1–23). Cham: Palgrave Macmillan. 30 January 2023 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2023). “The State of European Integration: Where Does the EU Stand and in What Direction Is It Heading?”. In Antonina Bakardjieva Engelbrekt, Per Ekman and Anna Michalski (Eds.), The EU Between Federal Union and Flexible Integration (263–277). Cham: Palgrave Macmillan. 23 March 2023 Hearn, Bruce, Lars Oxelheim and Trond Randøy (2023). “The Influence of Business Groups on Board Composition in Offshore financial Multinational Enterprises”. International Business Review 32(3), 102084. doi.org/10.1016/j.ibusrev.2022.102084 11 May 2022 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2022). “Conclusion: The EU and the Search for Sustainability and Resilience”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), Routes to a Resilient European Union (245–257). Cham: Palgrave Macmillan. 11 May 2022 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2022). “The EU and the Precarious Routes to Political, Economic and Social Resilience”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), Routes to a Resilient European Union (1–14). Cham: Palgrave Macmillan. 26 March 2021 Bakardjieva Engelbrekt, Antonina, Karin Leijon, Anna Michalski and Lars Oxelheim (2021). “What Does the Technological Shift Have in Stall for the EU? Opportunities and Pitfalls for European Societies”. In Antonina Bakardjieva Engelbrekt, Karin Leijon, Anna Michalski and Lars Oxelheim (Eds.), The European Union and the Technology Shift (1–25). Cham: Palgrave Macmillan. 13 July 2021 Oxelheim, Lars, Alf Alviniussen and Håkan Jankensgård (2021). “Foreign Exchange Risk Management”. In John Fraser, Robert Quail and Betty J. Simkins (Eds.), Enterprise Risk Management: Today’s Leading Research and Best Practices for Tomorrow’s Executives (631–653). Hoboken, NJ: John Wiley & Sons. 13 December 2021 Oxelheim, Lars and Trond Randøy (2021). “The Global Logistic Chain Under Siege in a Post-Covid Era”. In Erik Nesset, Hans Solli-Sæther and Øivind Strand (Eds.), Bidrag innen kundeverdi og marked (159–176). Trondheim: Universitetsforlaget. doi.org/10.18261/9788215055596-2021-08 01 January 2020 Bakardjieva Engelbrekt, Antonina, Karin Leijon, Anna Michalski and Lars Oxelheim (2020). “The EU, the Nation State, and the Perennial Challenge to European Integration”. In Antonina Bakardjieva Engelbrekt, Karin Leijon, Anna Michalski and Lars Oxelheim (Eds.), The European Union and the Return of the Nation State: Interdisciplinary European Studies (1–26). Cham, CH: Springer International. doi.org/10.1007/978-3-030-35005-5 01 January 2019 Engelbrekt, Antonina Bakardjieva, Niklas Bremberg, Anna Michalski and Lars Oxelheim (2019). “The European Union in a Changing World Order: What Is at Stake?”. In Antonina Bakardjieva Engelbrekt, Niklas Bremberg, Anna Michalski and Lars Oxelheim (Eds.), The European Union in a Changing World Order (1–22). Interdisciplinary European Studies. Cham, CH: Palgrave Macmillan. doi.org/10.1007/978-3-030-18001-0_1 01 February 2019 Hooghiemstra, Reggy, Niels Hermes, Lars Oxelheim and Trond Randøy (2019). “Strangers on the Board: The Impact of Board Internationalization on Earnings Management of Nordic Firms”. International Business Review 28(1), 119–134. doi.org/10.1016/j.ibusrev.2018.08.007 01 February 2019 Oxelheim, Lars (2019). “Optimal vs Satisfactory Transparency: The Impact of Global Macroeconomic Fluctuations on Corporate Competitiveness”. International Business Review 28(1), 190–206. doi.org/10.1016/j.ibusrev.2018.05.011 01 January 2018 Bakardjieva Engelbrekt, Antonina, Niklas Bremberg, Anna Michalski and Lars Oxelheim (2018). “Trust in the European Union: What Is It and How Does It Matter?”. In Antonina Bakardjieva Engelbrekt, Niklas Bremberg, Anna Michalski and Lars Oxelheim (Eds.), Trust in the European Union in Challenging Times (1–22). New York: Palgrave Macmillan. doi.org/10.1007/978-3-319-73857-4_1 01 January 2018 Bakardjieva Engelbrekt, Antonina, Anna Michalski, Niklas Nilsson and Lars Oxelheim (2018). “The EU and the Growing Number of Complex Security Threats”. In Antonina Bakardjieva Engelbrekt, Anna Michalski, Niklas Nilsson and Lars Oxelheim (Eds.), The European Union: Facing the Challenge of Multiple Security Threats (1–17). Edward Elgar Publishing. 01 January 2018 Bernitz, Ulf, Moa Mårtensson, Lars Oxelheim and Thomas Persson (2018). “Analysing the Prosperity Gap: The Economic, Legal, and Political Challenges Facing the EU”. In Ulf Bernitz, Moa Mårtensson, Lars Oxelheim and Thomas Persson (Eds.), Bridging the Prosperity Gap in the EU: The Social Challenge Ahead (1–21). Cheltenham, UK / Northampton, MA: Edward Elgar. 01 February 2018 Hearn, Bruce, Lars Oxelheim and Trond Randøy (2018). “The Institutional Determinants of Private Equity Involvement in Business Groups – The Case of Africa”. Journal of World Business 53(2), 118–133. doi.org/10.1016/j.jwb.2016.02.002 01 March 2017 Gregorič, Aleksandra, Lars Oxelheim, Trond Randøy and Steen Thomsen (2017). “Resistance to Change in the Corporate Elite: Female Directors’ Appointments onto Nordic Boards”. Journal of Business Ethics 141(2), 267–287. doi.org/10.1007/s10551-015-2703-4 01 June 2016 Campbell, Cynthia J. et al. (2016). “The Impact of CEO Long–Term Equity–Based Compensation Incentives on Economic Growth in Collectivist versus Individualist Countries”. Asian Economic Papers 15(2), 109–133. doi.org/10.1162/ASEP_a_00432 01 June 2016 Chiu, Hsin-Hui, Lars Oxelheim, Clas Wihlborg and Jianhua Zhang (2016). “Macroeconomic Fluctuations as Sources of Luck in CEO Compensation”. Journal of Business Ethics 136(2), 371–384. doi.org/10.1007/s10551-014-2520-1 01 January 2016 Jankensgård, Håkan, Alf Alviniussen and Lars Oxelheim (2016). “Why FX Risk Management Is Broken – And What Boards Need to Know to Fix It”. Journal of Applied Corporate Finance 28(1), 46–61. doi.org/10.1111/jacf.12158 01 January 2015 Bakardjieva Engelbrekt, Antonina, Moa Mårtensson, Lars Oxelheim and Thomas Persson (2015). “The EU and Global Imbalances”. In The EU’s Role in Fighting Global Imbalances (1–15). Cheltenham, UK: Edward Elgar Publishing. 01 January 2015 Forssbæck, Jens and Lars Oxelheim (2015). “The Multifaceted Concept of Transparency”. In Jens Forssbæck and Lars Oxelheim (Eds.), Oxford Handbook of Economic and Institutional Transparency (3–30). New York: Oxford University Press. doi.org/10.1093/oxfordhb/9780199917693.001.0001 01 September 2015 Oxelheim, Lars and Kevin Clarkson (2015). “Cronyism and the Determinants of Chairman Compensation”. Journal of Business Ethics 131(1), 69–87. doi.org/10.1007/s10551-014-2260-2 01 January 2015 Piekkari, Rebecca, Lars Oxelheim and Trond Randøy (2015). “The Silent Board: How Language Diversity May Influence the Work Processes of Corporate Boards”. Corporate Governance: An International Review 23(1), 25–41. doi.org/10.1111/corg.12085 01 January 2013 Oxelheim, Lars, Aleksandra Gregorič, Trond Randøy and Steen Thomsen (2013). “On the Internationalization of Corporate Boards: The Case of Nordic Firms”. Journal of International Business Studies 44(3), 173–194. doi.org/10.1057/jibs.2013.3 01 November 2013 Oxelheim, Lars and Trond Randøy (2013). “Globalization of Monitoring Practices:The Case of American Influences on the Dismissal Risk of European CEOs”. Journal of Economics and Business 70, 3–15. doi.org/10.1016/j.jeconbus.2013.02.002 01 January 2012 Andrén, Niclas, Håkan Jankensgård and Lars Oxelheim (2012). “Exposure–Based Cash–Flow–at–Risk for Value–Creating Risk Management under Macroeconomic Uncertainty”. In Ulrich Hommel, Michael Fabich, Ervin Schellenberg and Lutz Firnkorn (Eds.), The Strategic CFO (85–105). Berlin, Heidelberg: Springer. 01 January 2012 Oxelheim, Lars, Trond Randøy and Arthur Stonehill (2012). “What Can International Finance Add to International Strategy?”. In Alain Verbeke and Hermant Merchant (Eds.), Handbook of Research on International Strategic Management (238–253). Cheltenham, UK / Northampton, MA: Edward Elgar. 01 January 2012 Oxelheim, Lars and Clas Wihlborg (2012). “Corporate Distress and Restructuring with Macroeconomic Fluctuations: The Cases of GM and Ford”. Journal of Applied Finance 22(1), 71–88. 01 January 2012 Oxelheim, Lars, Clas Wihlborg and Marcus Thorsheim (2012). “The CFO’s Information Challenge in Managing Macroeconomic Risk”. In Ulrich Hommel, Michael Fabich, Ervin Schellenberg and Lutz Firnkorn (Eds.), The Strategic CFO (189–208). Berlin, Heidelberg: Springer. 01 January 2012 Oxelheim, Lars, Clas Wihlborg and Jianhua Zhang (2012). “How to Avoid Compensating the CEO for Luck: The Case of Macroeconomic Fluctuations”. In Randall S. Thomas and Jennifer G. Hill (Eds.), Research Handbook on Executive Pay (159–182). Cheltenham, UK / Northampton, MA: Edward Elgar. 05 April 2011 Andrén, Niclas and Lars Oxelheim (2011). “Exchange Rate Regime Shift and Price Patterns”. International Journal of Managerial Finance 7(2), 153–178. doi.org/10.1108/17439131111122148 01 June 2011 Forssbæck, Jens and Lars Oxelheim (2011). “Corporate Financial Determinants of Foreign Direct Investment”. Quarterly Review of Economics and Finance 51(3), 269–282. doi.org/10.1016/j.qref.2011.05.002 01 January 2011 Forssbæck, Jens and Lars Oxelheim (2011). “FDI and the Role of Financial Market Quality”. In Ravi Ramamurti and Niron Hashai (Eds.), The Future of Foreign Direct Investment and the Multinational Enterprise (85–109). Bingley, UK: Emerald Group Publishing. 29 November 2011 Oxelheim, Lars, Clas Wihlborg and Finn Østrup (2011). “The Origins and Resolution of Financial Crises: A Policy Dilemma”. In Robert W. Kolb (Ed.), The Origins and Resolution of Financial Crises: A Policy Dilemma (57–67). New Jersey: John Wiley & Sons. 01 February 2010 Oxelheim, Lars (2010). “Globalization, Transparency and Economic Growth: The Vulnerability of Chinese Firms to Macroeconomic Shocks”. Journal of Asian Economics 21(1), 66–75. doi.org/10.1016/j.asieco.2009.05.004 01 October 2009 Østrup, Finn, Lars Oxelheim and Clas Wihlborg (2009). “Origins and Resolution of Financial Crises: Lessons from the Current and Northern European Crises”. Asian Economic Papers 8(3), 178–220. doi.org/10.1162/asep.2009.8.3.178 01 December 2008 Forssbæck, Jens and Lars Oxelheim (2008). “Finance–Specific Factors as Drivers of Cross–Border Investment – An Empirical Investigation”. International Business Review 17(6), 630–641. doi.org/10.1016/j.ibusrev.2008.09.001 15 December 2008 Oxelheim, Lars (2008). “Macroeconomic Turbulence: Corporate Performance, Transparency and Economic Growth”. Tímarit um viðskipti og efnahagsmál, 59–70. doi.org/10.24122/tve.a.2008.6.2.7 01 August 2008 Oxelheim, Lars and Pervez Ghauri (2008). “EU – China and the Non–transparent Race for Inward FDI”. Journal of Asian Economics 19(4), 358–370. doi.org/10.1016/j.asieco.2008.04.001 01 January 2008 Oxelheim, Lars and Trond Randøy (2008). “European Corporate Governance Guidelines and CEO Pay – The Case of Norway and Sweden”. In Lars Oxelheim and Clas Wihlborg (Eds.), Markets and Compensation for Executives in Europe (183–199). Bingley, UK: Emerald Group Publishing. 01 January 2008 Oxelheim, Lars, Clas Wihlborg and Jianhua Zhang (2008). “Executive Compensation and Macroeconomic Fluctuations”. In Markets and Compensation for Executives in Europe (229–257). Bingley, UK: Emerald Group Publishing. 01 January 2007 Andersson, Krister, Eva Eberhartinger and Lars Oxelheim (2007). “The Room for National Tax Policy in the Future Europe”. In Krister Andersson, Eva Eberhartinger and Lars Oxelheim (Eds.), National Tax Policy in Europe. To Be or Not to Be? (237–246). Heidelberg: Springer. 01 January 2007 Forssbæck, Jens and Lars Oxelheim (2007). “The Interplay Between Money Market Development and Changes in Monetary Policy Operations in Small European Countries, 1980–2000”. In David G. Mayes and Jan Toporowski (Eds.), Open Market Operations and Financial Markets (p. 120–152 & 331–348). London & New York: Routledge. 01 April 2007 Forssbæck, Jens and Lars Oxelheim (2007). “The Transition to Market–Based Monetary Policy: What can China Learn from the European Experience?”. Journal of Asian Economics 18(2), 257–283. doi.org/10.1016/j.asieco.2007.02.001 01 March 2006 Forssbæck, Jens and Lars Oxelheim (2006). “On the Link Between Exchange–Rate Regimes, Capital Controls and Monetary Policy Autonomy in Small European Countries, 1979–2000”. World Economy 29(3), 341–368. doi.org/10.1111/j.1467-9701.2006.00786.x 01 January 2006 Forssbæck, Jens and Lars Oxelheim (2006). “Transparency, Capital Formation, and Economic Growth”. In Lars Oxelheim (Ed.), Corporate and Institutional Transparency for Economic Growth in Europe (1–45). Oxford: Elsevier. 01 June 2005 Andrén, Niclas, Håkan Jankensgård and Lars Oxelheim (2005). “Exposure–Based Cash–Flow–at–Risk: An Alternative to VaR for Industrial Companies”. Journal of Applied Corporate Finance 17(3), 76–86. doi.org/10.1111/j.1745-6622.2005.00046.x 01 December 2005 Braunerhjelm, Pontus, Lars Oxelheim and Per Thulin (2005). “The Relationship between Domestic and Outward Foreign Direct Investment: The Role of Industry–Specific Effects”. International Business Review 14(6), 677–694. doi.org/10.1016/j.ibusrev.2005.09.004 01 April 2005 Oxelheim, Lars and Michael Rafferty (2005). “On the Static Efficiency of Secondary Bond Markets”. Journal of Multinational Financial Management 15(2), 117–135. doi.org/10.1016/j.mulfin.2004.06.001 01 July 2005 Oxelheim, Lars and Trond Randøy (2005). “The Anglo–American Financial Influence on CEO Compensation in Non–Anglo–American Firms”. Journal of International Business Studies 36(4), 470–483. doi.org/10.1057/palgrave.jibs.8400144 01 January 2005 Oxelheim, Lars and Clas G. Wihlborg (2005). “A Comprehensive Approach to the Measurement of Macroeconomic Exposure”. In Michael Frenkel, Ulrich Hommel and Markus Rudolf (Eds.), Risk Management. Challenge and Opportunity (p. 513–535). Berlin, Heidelberg, New York: Springer. 01 January 2004 Oxelheim, Lars and Pervez N. Ghauri (2004). “The Race for FDI in the European Union”. In Lars Oxelheim and Pervez N. Ghauri (Eds.), European Union and the Race for Foreign Direct Investment in Europe (3–34). International business and management series. Oxford: Elsevier. 01 January 2003 Oxelheim, Lars (2003). “Macroeconomic Variables and Corporate Performance”. Financial Analysts Journal 59(4), 36–50. 01 December 2003 Oxelheim, Lars and Trond Randøy (2003). “The Impact of Foreign Board Membership on Firm Value”. Journal of Banking & Finance 27(12), 2369–2392. doi.org/10.1016/S0378-4266(02)00395-3 01 September 2003 Oxelheim, Lars and Clas G. Wihlborg (2003). “Recognizing Macroeconomic Fluctuations in Value Based Management”. Journal of Applied Corporate Finance 15(4), 104–110. doi.org/10.1111/j.1745-6622.2003.tb00531.x 01 April 2001 Oxelheim, Lars (2001). “Routes to Equity Market Integration – The Interplay between Politicians, Investors and Managers”. Journal of Multinational Financial Management 11(2), 183–211. doi.org/10.1016/S1042-444X(00)00049-9 01 August 2001 Oxelheim, Lars, Trond Randøy and Arthur Stonehill (2001). “On the Treatment of Finance–Specific Factors within the OLI Paradigm”. International Business Review 10(4), 381–398. doi.org/10.1016/S0969-5931(01)00022-1 01 December 2001 Randøy, Trond, Lars Oxelheim and Arthur Stonehill (2001). “Corporate Financial Strategies for Global Competitiveness”. European Management Journal 19(6), 659–669. doi.org/10.1016/S0263-2373(01)00091-3 01 June 2000 Braunerhjelm, Pontus and Lars Oxelheim (2000). “Does Foreign Direct Investment Replace Home Country Investment? The Effect of European Integration on the Location of Swedish Investment”. JCMS: Journal of Common Market Studies 38(2), 199–221. doi.org/10.1111/1468-5965.00217 01 January 1999 Oxelheim, Lars (1999). “Applying ‘MUST’ Analysis and the Role of Government in CI”. Competitive Intelligence Review 10(4), 65–73. 01 January 1998 Modén, Karl-Markus and Lars Oxelheim (1998). “Stock Markets’ View on Corporate Efforts to Internationalize the Cost of Capital”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (95–113). Copenhagen: Copenhagen Business School Press. 01 January 1998 Oxelheim, Lars (1998). “From Market Segmentation to Market Integration”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (23–33). Copenhagen: Copenhagen Business School Press. 01 January 1998 Oxelheim, Lars (1998). “Regulations, Institutions and Corporate Efforts – the Nordic Environment”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (35–72). Copenhagen: Copenhagen Business School Press. 01 January 1998 Oxelheim, Lars and Arthur Stonehill (1998). “Internationalizing the Cost of Capital – Strategies of Swedish Corporations”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (275–321). Copenhagen: Copenhagen Business School Press. 01 January 1997 Modén, Karl-Markus and Lars Oxelheim (1997). “Why Issue Equity Abroad? Corporate Reasons and Stock Market Responses”. Management International Review 37(3), 223–241. 01 January 1996 Braunerhjelm, Pontus and Lars Oxelheim (1996). “Structural Implications of the Investment Response by Swedish Multinational Firms to the EC 1992 Program”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (99–118). Copenhagen: Handelshøjskolens Forlag. 01 January 1996 Oxelheim, Lars and Robert Gärtner (1996). “Home Country Effects from Outward FDI – A Regional Study of Changes in Production Patterns”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (119–143). Copenhagen: Handelshøjskolens Forlag. 01 January 1996 Oxelheim, Lars and Robert Gärtner (1996). “The Response of Small Outsider Countries to the EC 1992 Program: Some Stylized Facts and Home Country Effects from Outward FDI: A Regional Study of Changes in Production Patterns”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (37–56). Copenhagen: Handelshøjskolens Forlag. 01 January 1995 Ibrahimi, Fatemeh, Lars Oxelheim and Clas G. Wihlborg (1995). “International Stock Markets and Fluctuations in Exchange Rates and Other Macroeconomic Variables”. In Raj Aggarwal and David C. Schirm (Eds.), Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues (43–67). Boston: Academic Press. 01 November 1995 Oxelheim, Lars and Clas G. Wihlborg (1995). “Measuring Macroeconomic Exposure: The Case of Volvo Cars”. European Financial Management 1(3), 241–263. doi.org/10.1111/j.1468-036X.1995.tb00019.x 01 January 1994 Oxelheim, Lars and Robert Gärtner (1994). “Small Country Manufacturing Industries in Transition – The Case of the Nordic Region”. Management International Review 34(4), 331–356. 01 January 1993 Oxelheim, Lars (1993). “Foreign Direct Investment and the Liberalization of Capital Movements”. In Lars Oxelheim (Ed.), The Global Race for Foreign Direct Investment (11–49). Berlin: Springer Verlag. doi.org/10.1007/978-3-642-78309-8_2 01 September 1991 Oxelheim, Lars and Clas G. Wihlborg (1991). “Accounting for Macroeconomic Influences on the Firm”. Journal of International Financial Management & Accounting 3(3), 258–282. doi.org/10.1111/j.1467-646X.1991.tb00098.x 01 January 1991 Oxelheim, Lars and Clas G. Wihlborg (1991). “Corporate Strategies in a Turbulent World Economy”. Management International Review 31(4), 293–315. 01 September 1990 Oxelheim, Lars, Clas Wihlborg and David Lim (1990). “Contractual Price Rigidities and Exchange Rate Adjustment”. International Trade Journal 5(1), 53–76. doi.org/10.1080/08853909008523707 01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Competitive Exposure”. Corporate Finance 5(51), 18–20. 01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Organic Hedging: Pricing Power”. Corporate Finance 5(61), 15–17. 01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Taking the Sting out of Economic Risk”. Corporate Finance 5(52), 12–13. 01 January 1988 Oxelheim, Lars (1988). “Macroeconomic Uncertainty as a Corporate Policy Issue”. World Futures 25, 101–130. 01 January 1988 Oxelheim, Lars and Clas G. Wihlborg (1988). “Hedging and Managing Exchange Rate and Related Macroeconomic Exposure”. In Sarkis J. Khoury and Alo Ghosh (Eds.), Recent Developments in International Banking and Finance, Vol. 2 (321–347). Lexington, MA: Lexington Books. 01 January 1988 Oxelheim, Lars and Clas G. Wihlborg (1988). “Using Financial Instruments to Hedge Macroeconomic Exposure”. Review of Futures Markets 7, 504–522. 01 January 1987 Oxelheim, Lars (1987). “Sweden: Is Something Wrong with the Growth Engine?”. In Pentti Vartia, Rolf Jensen, Gunnar Eliasson and Arne Selvik (Eds.), Growth Policies in a Nordic Perspective (171–205). Helsinki: ETLA, IFF, IUI, IØI. 01 January 1987 Oxelheim, Lars, Clas G. Wihlborg, Sarkis J. Khoury and Alo Ghosh (1987). “Exchange Rate – Related Exposures in a Macroeconomic Perspective”. In Recent Developments in International Banking and Finance, Volume 1 (87–102). Lexington, MA: Lexington Books. 01 January 1984 Oxelheim, Lars (1984). “Industrial Structure and Country Risks in a Nordic Perspective”. Economic Quarterly Review Unitas 56(2), 99–111. 01 January 1984 Oxelheim, Lars (1984). “The Largest Nordic Manufacturing Companies”. In Arne Mikkelsen, Pentti Vartia, Gunnar Eliasson and Arne Selvik (Eds.), Economic Growth in a Nordic Perspective (183–201). Helsinki: DØR, ETLA, IFF, IUI, IØI. 01 January 1984 Oxelheim, Lars (1984). “The Use of the Purchasing Power Parity Theory as a Normative Base in Measuring and Reporting Exchange Gains and Losses”. Schmalenbachs Zeitschrift für Betriebswirtschaftliche Forschung 36, 677–698. 01 January 1983 Oxelheim, Lars (1983). “Proposals for New Accounting Standards for Foreign Monetary Items”. Journal of Business Finance & Accounting 10(2), 257–288.
03 May 2024 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2024). “Perspectives on the Significance of Borders in Europe: Past Challenges, Future Developments”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The Borders of the European Union in a Conflictual World (1–21). Cham: Palgrave Macmillan. doi.org/10.1007/978-3-031-54200-8_1
03 May 2024 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2024). “The EU’s Internal and External Borders in a World Torn by Conflict”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The Borders of the European Union in a Conflictual World (261–283). Cham: Palgrave Macmillan. doi.org/10.1007/978-3-031-54200-8_11
18 November 2024 Ghauri, Pervez N., Lars Oxelheim and Trond Randøy (2024). “The Changed Geopolitical Map: Implications for Business Policy in a Sustainable Finance Perspective”. In Philippe Gugler and Ana Teresa Tavares-Lehmann (Eds.), Handbook on International Business Policy (170–189). Cheltenham: Edward Elgar Publishing.
02 May 2024 Hearn, Bruce, Lars Oxelheim and Trond Randøy (forthcoming). “The Impact of Indigenous Culture and Business Group Affiliation on Corporate Governance of African Firms”. Corporate Governance: An international Review 32(3), 449–473. doi.org/10.1111/corg.12547
04 September 2023 Afzali, Haroon, Minna Martikainen, Lars Oxelheim and Trond Randøy (2023). “On the Role of Internationalization of Firm-Level Corporate Governance: The Case of Audit Committees”. Corporate Governance: An International Review 31(5), 737–758. doi.org/10.1111/corg.12503
30 January 2023 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2023). “The Road Ahead for the European Union: Between Federal Union and Flexible Integration”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), The EU Between Federal Union and Flexible Integration (1–23). Cham: Palgrave Macmillan.
30 January 2023 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2023). “The State of European Integration: Where Does the EU Stand and in What Direction Is It Heading?”. In Antonina Bakardjieva Engelbrekt, Per Ekman and Anna Michalski (Eds.), The EU Between Federal Union and Flexible Integration (263–277). Cham: Palgrave Macmillan.
23 March 2023 Hearn, Bruce, Lars Oxelheim and Trond Randøy (2023). “The Influence of Business Groups on Board Composition in Offshore financial Multinational Enterprises”. International Business Review 32(3), 102084. doi.org/10.1016/j.ibusrev.2022.102084
11 May 2022 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2022). “Conclusion: The EU and the Search for Sustainability and Resilience”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), Routes to a Resilient European Union (245–257). Cham: Palgrave Macmillan.
11 May 2022 Bakardjieva Engelbrekt, Antonina, Per Ekman, Anna Michalski and Lars Oxelheim (2022). “The EU and the Precarious Routes to Political, Economic and Social Resilience”. In Antonina Bakardjieva Engelbrekt, Per Ekman, Anna Michalski and Lars Oxelheim (Eds.), Routes to a Resilient European Union (1–14). Cham: Palgrave Macmillan.
26 March 2021 Bakardjieva Engelbrekt, Antonina, Karin Leijon, Anna Michalski and Lars Oxelheim (2021). “What Does the Technological Shift Have in Stall for the EU? Opportunities and Pitfalls for European Societies”. In Antonina Bakardjieva Engelbrekt, Karin Leijon, Anna Michalski and Lars Oxelheim (Eds.), The European Union and the Technology Shift (1–25). Cham: Palgrave Macmillan.
13 July 2021 Oxelheim, Lars, Alf Alviniussen and Håkan Jankensgård (2021). “Foreign Exchange Risk Management”. In John Fraser, Robert Quail and Betty J. Simkins (Eds.), Enterprise Risk Management: Today’s Leading Research and Best Practices for Tomorrow’s Executives (631–653). Hoboken, NJ: John Wiley & Sons.
13 December 2021 Oxelheim, Lars and Trond Randøy (2021). “The Global Logistic Chain Under Siege in a Post-Covid Era”. In Erik Nesset, Hans Solli-Sæther and Øivind Strand (Eds.), Bidrag innen kundeverdi og marked (159–176). Trondheim: Universitetsforlaget. doi.org/10.18261/9788215055596-2021-08
01 January 2020 Bakardjieva Engelbrekt, Antonina, Karin Leijon, Anna Michalski and Lars Oxelheim (2020). “The EU, the Nation State, and the Perennial Challenge to European Integration”. In Antonina Bakardjieva Engelbrekt, Karin Leijon, Anna Michalski and Lars Oxelheim (Eds.), The European Union and the Return of the Nation State: Interdisciplinary European Studies (1–26). Cham, CH: Springer International. doi.org/10.1007/978-3-030-35005-5
01 January 2019 Engelbrekt, Antonina Bakardjieva, Niklas Bremberg, Anna Michalski and Lars Oxelheim (2019). “The European Union in a Changing World Order: What Is at Stake?”. In Antonina Bakardjieva Engelbrekt, Niklas Bremberg, Anna Michalski and Lars Oxelheim (Eds.), The European Union in a Changing World Order (1–22). Interdisciplinary European Studies. Cham, CH: Palgrave Macmillan. doi.org/10.1007/978-3-030-18001-0_1
01 February 2019 Hooghiemstra, Reggy, Niels Hermes, Lars Oxelheim and Trond Randøy (2019). “Strangers on the Board: The Impact of Board Internationalization on Earnings Management of Nordic Firms”. International Business Review 28(1), 119–134. doi.org/10.1016/j.ibusrev.2018.08.007
01 February 2019 Oxelheim, Lars (2019). “Optimal vs Satisfactory Transparency: The Impact of Global Macroeconomic Fluctuations on Corporate Competitiveness”. International Business Review 28(1), 190–206. doi.org/10.1016/j.ibusrev.2018.05.011
01 January 2018 Bakardjieva Engelbrekt, Antonina, Niklas Bremberg, Anna Michalski and Lars Oxelheim (2018). “Trust in the European Union: What Is It and How Does It Matter?”. In Antonina Bakardjieva Engelbrekt, Niklas Bremberg, Anna Michalski and Lars Oxelheim (Eds.), Trust in the European Union in Challenging Times (1–22). New York: Palgrave Macmillan. doi.org/10.1007/978-3-319-73857-4_1
01 January 2018 Bakardjieva Engelbrekt, Antonina, Anna Michalski, Niklas Nilsson and Lars Oxelheim (2018). “The EU and the Growing Number of Complex Security Threats”. In Antonina Bakardjieva Engelbrekt, Anna Michalski, Niklas Nilsson and Lars Oxelheim (Eds.), The European Union: Facing the Challenge of Multiple Security Threats (1–17). Edward Elgar Publishing.
01 January 2018 Bernitz, Ulf, Moa Mårtensson, Lars Oxelheim and Thomas Persson (2018). “Analysing the Prosperity Gap: The Economic, Legal, and Political Challenges Facing the EU”. In Ulf Bernitz, Moa Mårtensson, Lars Oxelheim and Thomas Persson (Eds.), Bridging the Prosperity Gap in the EU: The Social Challenge Ahead (1–21). Cheltenham, UK / Northampton, MA: Edward Elgar.
01 February 2018 Hearn, Bruce, Lars Oxelheim and Trond Randøy (2018). “The Institutional Determinants of Private Equity Involvement in Business Groups – The Case of Africa”. Journal of World Business 53(2), 118–133. doi.org/10.1016/j.jwb.2016.02.002
01 March 2017 Gregorič, Aleksandra, Lars Oxelheim, Trond Randøy and Steen Thomsen (2017). “Resistance to Change in the Corporate Elite: Female Directors’ Appointments onto Nordic Boards”. Journal of Business Ethics 141(2), 267–287. doi.org/10.1007/s10551-015-2703-4
01 June 2016 Campbell, Cynthia J. et al. (2016). “The Impact of CEO Long–Term Equity–Based Compensation Incentives on Economic Growth in Collectivist versus Individualist Countries”. Asian Economic Papers 15(2), 109–133. doi.org/10.1162/ASEP_a_00432
01 June 2016 Chiu, Hsin-Hui, Lars Oxelheim, Clas Wihlborg and Jianhua Zhang (2016). “Macroeconomic Fluctuations as Sources of Luck in CEO Compensation”. Journal of Business Ethics 136(2), 371–384. doi.org/10.1007/s10551-014-2520-1
01 January 2016 Jankensgård, Håkan, Alf Alviniussen and Lars Oxelheim (2016). “Why FX Risk Management Is Broken – And What Boards Need to Know to Fix It”. Journal of Applied Corporate Finance 28(1), 46–61. doi.org/10.1111/jacf.12158
01 January 2015 Bakardjieva Engelbrekt, Antonina, Moa Mårtensson, Lars Oxelheim and Thomas Persson (2015). “The EU and Global Imbalances”. In The EU’s Role in Fighting Global Imbalances (1–15). Cheltenham, UK: Edward Elgar Publishing.
01 January 2015 Forssbæck, Jens and Lars Oxelheim (2015). “The Multifaceted Concept of Transparency”. In Jens Forssbæck and Lars Oxelheim (Eds.), Oxford Handbook of Economic and Institutional Transparency (3–30). New York: Oxford University Press. doi.org/10.1093/oxfordhb/9780199917693.001.0001
01 September 2015 Oxelheim, Lars and Kevin Clarkson (2015). “Cronyism and the Determinants of Chairman Compensation”. Journal of Business Ethics 131(1), 69–87. doi.org/10.1007/s10551-014-2260-2
01 January 2015 Piekkari, Rebecca, Lars Oxelheim and Trond Randøy (2015). “The Silent Board: How Language Diversity May Influence the Work Processes of Corporate Boards”. Corporate Governance: An International Review 23(1), 25–41. doi.org/10.1111/corg.12085
01 January 2013 Oxelheim, Lars, Aleksandra Gregorič, Trond Randøy and Steen Thomsen (2013). “On the Internationalization of Corporate Boards: The Case of Nordic Firms”. Journal of International Business Studies 44(3), 173–194. doi.org/10.1057/jibs.2013.3
01 November 2013 Oxelheim, Lars and Trond Randøy (2013). “Globalization of Monitoring Practices:The Case of American Influences on the Dismissal Risk of European CEOs”. Journal of Economics and Business 70, 3–15. doi.org/10.1016/j.jeconbus.2013.02.002
01 January 2012 Andrén, Niclas, Håkan Jankensgård and Lars Oxelheim (2012). “Exposure–Based Cash–Flow–at–Risk for Value–Creating Risk Management under Macroeconomic Uncertainty”. In Ulrich Hommel, Michael Fabich, Ervin Schellenberg and Lutz Firnkorn (Eds.), The Strategic CFO (85–105). Berlin, Heidelberg: Springer.
01 January 2012 Oxelheim, Lars, Trond Randøy and Arthur Stonehill (2012). “What Can International Finance Add to International Strategy?”. In Alain Verbeke and Hermant Merchant (Eds.), Handbook of Research on International Strategic Management (238–253). Cheltenham, UK / Northampton, MA: Edward Elgar.
01 January 2012 Oxelheim, Lars and Clas Wihlborg (2012). “Corporate Distress and Restructuring with Macroeconomic Fluctuations: The Cases of GM and Ford”. Journal of Applied Finance 22(1), 71–88.
01 January 2012 Oxelheim, Lars, Clas Wihlborg and Marcus Thorsheim (2012). “The CFO’s Information Challenge in Managing Macroeconomic Risk”. In Ulrich Hommel, Michael Fabich, Ervin Schellenberg and Lutz Firnkorn (Eds.), The Strategic CFO (189–208). Berlin, Heidelberg: Springer.
01 January 2012 Oxelheim, Lars, Clas Wihlborg and Jianhua Zhang (2012). “How to Avoid Compensating the CEO for Luck: The Case of Macroeconomic Fluctuations”. In Randall S. Thomas and Jennifer G. Hill (Eds.), Research Handbook on Executive Pay (159–182). Cheltenham, UK / Northampton, MA: Edward Elgar.
05 April 2011 Andrén, Niclas and Lars Oxelheim (2011). “Exchange Rate Regime Shift and Price Patterns”. International Journal of Managerial Finance 7(2), 153–178. doi.org/10.1108/17439131111122148
01 June 2011 Forssbæck, Jens and Lars Oxelheim (2011). “Corporate Financial Determinants of Foreign Direct Investment”. Quarterly Review of Economics and Finance 51(3), 269–282. doi.org/10.1016/j.qref.2011.05.002
01 January 2011 Forssbæck, Jens and Lars Oxelheim (2011). “FDI and the Role of Financial Market Quality”. In Ravi Ramamurti and Niron Hashai (Eds.), The Future of Foreign Direct Investment and the Multinational Enterprise (85–109). Bingley, UK: Emerald Group Publishing.
29 November 2011 Oxelheim, Lars, Clas Wihlborg and Finn Østrup (2011). “The Origins and Resolution of Financial Crises: A Policy Dilemma”. In Robert W. Kolb (Ed.), The Origins and Resolution of Financial Crises: A Policy Dilemma (57–67). New Jersey: John Wiley & Sons.
01 February 2010 Oxelheim, Lars (2010). “Globalization, Transparency and Economic Growth: The Vulnerability of Chinese Firms to Macroeconomic Shocks”. Journal of Asian Economics 21(1), 66–75. doi.org/10.1016/j.asieco.2009.05.004
01 October 2009 Østrup, Finn, Lars Oxelheim and Clas Wihlborg (2009). “Origins and Resolution of Financial Crises: Lessons from the Current and Northern European Crises”. Asian Economic Papers 8(3), 178–220. doi.org/10.1162/asep.2009.8.3.178
01 December 2008 Forssbæck, Jens and Lars Oxelheim (2008). “Finance–Specific Factors as Drivers of Cross–Border Investment – An Empirical Investigation”. International Business Review 17(6), 630–641. doi.org/10.1016/j.ibusrev.2008.09.001
15 December 2008 Oxelheim, Lars (2008). “Macroeconomic Turbulence: Corporate Performance, Transparency and Economic Growth”. Tímarit um viðskipti og efnahagsmál, 59–70. doi.org/10.24122/tve.a.2008.6.2.7
01 August 2008 Oxelheim, Lars and Pervez Ghauri (2008). “EU – China and the Non–transparent Race for Inward FDI”. Journal of Asian Economics 19(4), 358–370. doi.org/10.1016/j.asieco.2008.04.001
01 January 2008 Oxelheim, Lars and Trond Randøy (2008). “European Corporate Governance Guidelines and CEO Pay – The Case of Norway and Sweden”. In Lars Oxelheim and Clas Wihlborg (Eds.), Markets and Compensation for Executives in Europe (183–199). Bingley, UK: Emerald Group Publishing.
01 January 2008 Oxelheim, Lars, Clas Wihlborg and Jianhua Zhang (2008). “Executive Compensation and Macroeconomic Fluctuations”. In Markets and Compensation for Executives in Europe (229–257). Bingley, UK: Emerald Group Publishing.
01 January 2007 Andersson, Krister, Eva Eberhartinger and Lars Oxelheim (2007). “The Room for National Tax Policy in the Future Europe”. In Krister Andersson, Eva Eberhartinger and Lars Oxelheim (Eds.), National Tax Policy in Europe. To Be or Not to Be? (237–246). Heidelberg: Springer.
01 January 2007 Forssbæck, Jens and Lars Oxelheim (2007). “The Interplay Between Money Market Development and Changes in Monetary Policy Operations in Small European Countries, 1980–2000”. In David G. Mayes and Jan Toporowski (Eds.), Open Market Operations and Financial Markets (p. 120–152 & 331–348). London & New York: Routledge.
01 April 2007 Forssbæck, Jens and Lars Oxelheim (2007). “The Transition to Market–Based Monetary Policy: What can China Learn from the European Experience?”. Journal of Asian Economics 18(2), 257–283. doi.org/10.1016/j.asieco.2007.02.001
01 March 2006 Forssbæck, Jens and Lars Oxelheim (2006). “On the Link Between Exchange–Rate Regimes, Capital Controls and Monetary Policy Autonomy in Small European Countries, 1979–2000”. World Economy 29(3), 341–368. doi.org/10.1111/j.1467-9701.2006.00786.x
01 January 2006 Forssbæck, Jens and Lars Oxelheim (2006). “Transparency, Capital Formation, and Economic Growth”. In Lars Oxelheim (Ed.), Corporate and Institutional Transparency for Economic Growth in Europe (1–45). Oxford: Elsevier.
01 June 2005 Andrén, Niclas, Håkan Jankensgård and Lars Oxelheim (2005). “Exposure–Based Cash–Flow–at–Risk: An Alternative to VaR for Industrial Companies”. Journal of Applied Corporate Finance 17(3), 76–86. doi.org/10.1111/j.1745-6622.2005.00046.x
01 December 2005 Braunerhjelm, Pontus, Lars Oxelheim and Per Thulin (2005). “The Relationship between Domestic and Outward Foreign Direct Investment: The Role of Industry–Specific Effects”. International Business Review 14(6), 677–694. doi.org/10.1016/j.ibusrev.2005.09.004
01 April 2005 Oxelheim, Lars and Michael Rafferty (2005). “On the Static Efficiency of Secondary Bond Markets”. Journal of Multinational Financial Management 15(2), 117–135. doi.org/10.1016/j.mulfin.2004.06.001
01 July 2005 Oxelheim, Lars and Trond Randøy (2005). “The Anglo–American Financial Influence on CEO Compensation in Non–Anglo–American Firms”. Journal of International Business Studies 36(4), 470–483. doi.org/10.1057/palgrave.jibs.8400144
01 January 2005 Oxelheim, Lars and Clas G. Wihlborg (2005). “A Comprehensive Approach to the Measurement of Macroeconomic Exposure”. In Michael Frenkel, Ulrich Hommel and Markus Rudolf (Eds.), Risk Management. Challenge and Opportunity (p. 513–535). Berlin, Heidelberg, New York: Springer.
01 January 2004 Oxelheim, Lars and Pervez N. Ghauri (2004). “The Race for FDI in the European Union”. In Lars Oxelheim and Pervez N. Ghauri (Eds.), European Union and the Race for Foreign Direct Investment in Europe (3–34). International business and management series. Oxford: Elsevier.
01 January 2003 Oxelheim, Lars (2003). “Macroeconomic Variables and Corporate Performance”. Financial Analysts Journal 59(4), 36–50.
01 December 2003 Oxelheim, Lars and Trond Randøy (2003). “The Impact of Foreign Board Membership on Firm Value”. Journal of Banking & Finance 27(12), 2369–2392. doi.org/10.1016/S0378-4266(02)00395-3
01 September 2003 Oxelheim, Lars and Clas G. Wihlborg (2003). “Recognizing Macroeconomic Fluctuations in Value Based Management”. Journal of Applied Corporate Finance 15(4), 104–110. doi.org/10.1111/j.1745-6622.2003.tb00531.x
01 April 2001 Oxelheim, Lars (2001). “Routes to Equity Market Integration – The Interplay between Politicians, Investors and Managers”. Journal of Multinational Financial Management 11(2), 183–211. doi.org/10.1016/S1042-444X(00)00049-9
01 August 2001 Oxelheim, Lars, Trond Randøy and Arthur Stonehill (2001). “On the Treatment of Finance–Specific Factors within the OLI Paradigm”. International Business Review 10(4), 381–398. doi.org/10.1016/S0969-5931(01)00022-1
01 December 2001 Randøy, Trond, Lars Oxelheim and Arthur Stonehill (2001). “Corporate Financial Strategies for Global Competitiveness”. European Management Journal 19(6), 659–669. doi.org/10.1016/S0263-2373(01)00091-3
01 June 2000 Braunerhjelm, Pontus and Lars Oxelheim (2000). “Does Foreign Direct Investment Replace Home Country Investment? The Effect of European Integration on the Location of Swedish Investment”. JCMS: Journal of Common Market Studies 38(2), 199–221. doi.org/10.1111/1468-5965.00217
01 January 1999 Oxelheim, Lars (1999). “Applying ‘MUST’ Analysis and the Role of Government in CI”. Competitive Intelligence Review 10(4), 65–73.
01 January 1998 Modén, Karl-Markus and Lars Oxelheim (1998). “Stock Markets’ View on Corporate Efforts to Internationalize the Cost of Capital”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (95–113). Copenhagen: Copenhagen Business School Press.
01 January 1998 Oxelheim, Lars (1998). “From Market Segmentation to Market Integration”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (23–33). Copenhagen: Copenhagen Business School Press.
01 January 1998 Oxelheim, Lars (1998). “Regulations, Institutions and Corporate Efforts – the Nordic Environment”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (35–72). Copenhagen: Copenhagen Business School Press.
01 January 1998 Oxelheim, Lars and Arthur Stonehill (1998). “Internationalizing the Cost of Capital – Strategies of Swedish Corporations”. In Lars Oxelheim et al. (Eds.), Corporate Strategies to Internationalise the Cost of Capital (275–321). Copenhagen: Copenhagen Business School Press.
01 January 1997 Modén, Karl-Markus and Lars Oxelheim (1997). “Why Issue Equity Abroad? Corporate Reasons and Stock Market Responses”. Management International Review 37(3), 223–241.
01 January 1996 Braunerhjelm, Pontus and Lars Oxelheim (1996). “Structural Implications of the Investment Response by Swedish Multinational Firms to the EC 1992 Program”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (99–118). Copenhagen: Handelshøjskolens Forlag.
01 January 1996 Oxelheim, Lars and Robert Gärtner (1996). “Home Country Effects from Outward FDI – A Regional Study of Changes in Production Patterns”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (119–143). Copenhagen: Handelshøjskolens Forlag.
01 January 1996 Oxelheim, Lars and Robert Gärtner (1996). “The Response of Small Outsider Countries to the EC 1992 Program: Some Stylized Facts and Home Country Effects from Outward FDI: A Regional Study of Changes in Production Patterns”. In Seev Hirsch and Tamar Almor (Eds.), Outsiders’ Response to European Integration (37–56). Copenhagen: Handelshøjskolens Forlag.
01 January 1995 Ibrahimi, Fatemeh, Lars Oxelheim and Clas G. Wihlborg (1995). “International Stock Markets and Fluctuations in Exchange Rates and Other Macroeconomic Variables”. In Raj Aggarwal and David C. Schirm (Eds.), Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues (43–67). Boston: Academic Press.
01 November 1995 Oxelheim, Lars and Clas G. Wihlborg (1995). “Measuring Macroeconomic Exposure: The Case of Volvo Cars”. European Financial Management 1(3), 241–263. doi.org/10.1111/j.1468-036X.1995.tb00019.x
01 January 1994 Oxelheim, Lars and Robert Gärtner (1994). “Small Country Manufacturing Industries in Transition – The Case of the Nordic Region”. Management International Review 34(4), 331–356.
01 January 1993 Oxelheim, Lars (1993). “Foreign Direct Investment and the Liberalization of Capital Movements”. In Lars Oxelheim (Ed.), The Global Race for Foreign Direct Investment (11–49). Berlin: Springer Verlag. doi.org/10.1007/978-3-642-78309-8_2
01 September 1991 Oxelheim, Lars and Clas G. Wihlborg (1991). “Accounting for Macroeconomic Influences on the Firm”. Journal of International Financial Management & Accounting 3(3), 258–282. doi.org/10.1111/j.1467-646X.1991.tb00098.x
01 January 1991 Oxelheim, Lars and Clas G. Wihlborg (1991). “Corporate Strategies in a Turbulent World Economy”. Management International Review 31(4), 293–315.
01 September 1990 Oxelheim, Lars, Clas Wihlborg and David Lim (1990). “Contractual Price Rigidities and Exchange Rate Adjustment”. International Trade Journal 5(1), 53–76. doi.org/10.1080/08853909008523707
01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Competitive Exposure”. Corporate Finance 5(51), 18–20.
01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Organic Hedging: Pricing Power”. Corporate Finance 5(61), 15–17.
01 January 1989 Oxelheim, Lars and Clas G. Wihlborg (1989). “Taking the Sting out of Economic Risk”. Corporate Finance 5(52), 12–13.
01 January 1988 Oxelheim, Lars (1988). “Macroeconomic Uncertainty as a Corporate Policy Issue”. World Futures 25, 101–130.
01 January 1988 Oxelheim, Lars and Clas G. Wihlborg (1988). “Hedging and Managing Exchange Rate and Related Macroeconomic Exposure”. In Sarkis J. Khoury and Alo Ghosh (Eds.), Recent Developments in International Banking and Finance, Vol. 2 (321–347). Lexington, MA: Lexington Books.
01 January 1988 Oxelheim, Lars and Clas G. Wihlborg (1988). “Using Financial Instruments to Hedge Macroeconomic Exposure”. Review of Futures Markets 7, 504–522.
01 January 1987 Oxelheim, Lars (1987). “Sweden: Is Something Wrong with the Growth Engine?”. In Pentti Vartia, Rolf Jensen, Gunnar Eliasson and Arne Selvik (Eds.), Growth Policies in a Nordic Perspective (171–205). Helsinki: ETLA, IFF, IUI, IØI.
01 January 1987 Oxelheim, Lars, Clas G. Wihlborg, Sarkis J. Khoury and Alo Ghosh (1987). “Exchange Rate – Related Exposures in a Macroeconomic Perspective”. In Recent Developments in International Banking and Finance, Volume 1 (87–102). Lexington, MA: Lexington Books.
01 January 1984 Oxelheim, Lars (1984). “Industrial Structure and Country Risks in a Nordic Perspective”. Economic Quarterly Review Unitas 56(2), 99–111.
01 January 1984 Oxelheim, Lars (1984). “The Largest Nordic Manufacturing Companies”. In Arne Mikkelsen, Pentti Vartia, Gunnar Eliasson and Arne Selvik (Eds.), Economic Growth in a Nordic Perspective (183–201). Helsinki: DØR, ETLA, IFF, IUI, IØI.
01 January 1984 Oxelheim, Lars (1984). “The Use of the Purchasing Power Parity Theory as a Normative Base in Measuring and Reporting Exchange Gains and Losses”. Schmalenbachs Zeitschrift für Betriebswirtschaftliche Forschung 36, 677–698.
01 January 1983 Oxelheim, Lars (1983). “Proposals for New Accounting Standards for Foreign Monetary Items”. Journal of Business Finance & Accounting 10(2), 257–288.