For your term project, you will make a recommendation on managing risk exposure for a hypothetical multinational corporation (MNC) with (assigned) foreign currency cash flows scheduled to occur in 3 months. The information you collect and analyze will help you assess the risk of your firm’s foreign exchange exposure, forecast the exchange rate of one currency in 3 months, and make a decision about hedging the transaction exposure for cash flows due in three months. Information Sources: Use current financial and economic information in your analysis. You can use data sources on the internet that are authentic or official.
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