International Finance Research Paper
This paper should have at least 7 pages of narrative (3,000 – 4,000 words), plus exhibits. Place particular emphasis on risk management and offshore borrowing/investing activities. Use a publicly traded firm, use (ask me) as the multinational firm, as the subject for this paper.
B. What is the company’s Foreign Exchange (FX) Risk Management Policy?
in recent years?
C. How does the company use derivatives for funding, investing, and other price risks?
D. What is the extent of the company’s offshore and Euromarket funding and investing activities?
E. Conclusion: How effective is this firm’s international financial strategy? How have they created value with it? How have they destroyed value with it? What do you believe will be the future result of continuing to follow this strategy?
F. Sources: List any sources of data or information used in creating this paper. Make sure to use the company’s 10-k as one of the sources.