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Focusing on the intricacies of foreign exchange markets, this study guide delves into the determinants of exchange rates and the effects of economic policy on them. It covers the balance of payments and its influence on country risk, while also exploring exchange risk concepts and hedging strategies using forward contracts and foreign currency options. By providing numerical and institutional examples, the guide aims to simplify international finance, illustrating key theories and practical approaches to managing foreign exchange exposures and understanding government interventions.
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Study Guide International Finance, Vilani Sachitra
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- Pubblicato
- 2022
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