StudentShare
Contact Us
Sign In / Sign Up for FREE
Search
Go to advanced search...

International Finance Management - Term Paper Example

Cite this document
Summary
Is there any news today that might explain the change in the futures prices?
Currency Futures are being traded on the Chicago Mercantile…
Download full paper File format: .doc, available for editing
GRAB THE BEST PAPER96.9% of users find it useful
International Finance Management
Read Text Preview

Extract of sample "International Finance Management"

Download file to see previous pages

Forward contracts however can not change hands and are contracts between two parties. Prevailing interest rates in the respective markets have a major impact on the increase or decrease of a contracts price. For example if the GBP/USD contract is on sale at CME, than an increase in the interest rates prevailing in the British economy would increase the contract price and those in the United States economy would decrease it. This is because there is a direct link between the price of value of a currency and interest rates.

If for example interest rates are reduced money supply will increase in the economy. According to the economic laws of supply and demand, an increased supply would result in lower prices. Thus the futures expected price of currency would also decrease. Balance of trade is without doubt the most important factor that can affect the price of a currency. Balance of trade refers to the difference between what a country imports and exports. Also called the current account balance, it can only be offset if investors keep investing in dollar dominated assets.

If a country gives a budget with a deficit, it can only fill up that deficit by borrowing money for the national or international market. The government will have to use up its currency reserves to pay off international debt and possibly print more money to pay of national debt; these will decrease the value of national currency. The stability of the government is also a huge factor in determining the increase or decrease of national currency value. This is because a stable government establishes stable policies; this stability reduces investor risk thus increasing currency value.

These factors have huge impacts on Currency value. This is because the risk associated with the currency is high in war and the risk of default; on foreign payments also increase. In case of Natural disasters, the expenditure of the country increases on

...Download file to see next pages Read More
Cite this document
  • APA
  • MLA
  • CHICAGO
(“International Finance Management Term Paper Example | Topics and Well Written Essays - 3750 words”, n.d.)
International Finance Management Term Paper Example | Topics and Well Written Essays - 3750 words. Retrieved from https://studentshare.org/miscellaneous/1558102-international-finance-management
(International Finance Management Term Paper Example | Topics and Well Written Essays - 3750 Words)
International Finance Management Term Paper Example | Topics and Well Written Essays - 3750 Words. https://studentshare.org/miscellaneous/1558102-international-finance-management.
“International Finance Management Term Paper Example | Topics and Well Written Essays - 3750 Words”, n.d. https://studentshare.org/miscellaneous/1558102-international-finance-management.
  • Cited: 0 times

CHECK THESE SAMPLES OF International Finance Management

Multinational Corporation Expansion: Pfizer Company

Management of international finance deals with monetary and financial decisions taken in the area of international business.... international finance is different from domestic finance.... There are three dimensions of international finance which differentiates it from others; 1.... Thus, while doing international trade, the involvement of trade and tariffs is normal and financial management becomes critical as these trade laws and regulations are different for different international markets....
7 Pages (1750 words) Case Study

International Finance and Financial Management

Assignment "international finance and Financial Management"  starts with the analysis of the sources of fundamental risks and calculated and explained relevant measures of expected returns involved in investing in Microsoft stocks                                                                                 … To analyze the risks involved in a company's stock, it is imperative that its fundamentals are put under rigorous scrutiny....
10 Pages (2500 words) Assignment

Foreign Direct Investment Risks

The essay “Foreign Direct Investment Risks” focuses on foreign direct investment, which is the long term investment by an investor in another country other than the country he resides.... Before decisions on investments are made several factors which include political stability and exposure of transactions....
2 Pages (500 words) Essay

International Finance Paper Home Depot

The company also later on diversified its operation into other countries like Canada and Mexico, where in it needed expert advice on the various complex issues related to international finance.... An investment bank has departments like the Corporate finance, which deals in the areas of mergers and acquisitions along with providing finance related consultancy to the clients....
7 Pages (1750 words) Essay

Shell's Business Particulars and Its Motivation

The company was under the management of Henry Deterding, whose guidance and dedication made the two barely managing companies into a strong force to reckon with, in the oil industry.... At this stage the company has already gone through the local markets exporting and to international marketing....
4 Pages (1000 words) Essay

International Financial Manager

Thus, the HSBC offers a unique opportunity to the finance professionals of making an internationally mobile banking career through its International Finance Management Program enabling them to gain the capabilities required to progress up to the level of senior management.... The IFMs of the HSBC developed a portfolio of international banking and management skills through a large number of challenging projects and assignments that were related to the developed and emerging markets in 87 countries....
2 Pages (500 words) Essay

Risk Management and International Finance

The Basel Capital accord was adopted in the year 1988 since which in had an international framework and recognition that applies until today.... Therefore, it is vital to evaluate the IRB approach through historical data especially the business loan portfolio data.... Moreover,… Additionally, the report will include the calculation of value at risk (VaR) credit measures....
10 Pages (2500 words) Assignment

Managing Accounting in Multinational Finance

The purpose of this research is to address the recognition, measurement, and management of Exposure and Risk, which is one of the primary roles of the Treasurer of an Multi-National Company.... onsidered from a more specific context, the treasurer is responsible for developing strategic decision making in terms of the organization's risk management strategy when the financial risk does not directly deal with a commodity.... For instance, it was indicated that 90% of the instances wherein the company deals with foreign exchange risks the treasury department assumes control of instituting the risk management initiatives (Corporate treasurers, 2006)....
8 Pages (2000 words) Research Paper
sponsored ads
We use cookies to create the best experience for you. Keep on browsing if you are OK with that, or find out how to manage cookies.
Contact Us