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

Corporate Finance and Risk - Essay Example

Cite this document
Summary
Founded in 1960 by Mr. Todd Smith, Cheapmart is today listed among the fortune 500 firms and listed on the New York Stock Exchange (NYSE) since 1998. The retail chain…
Download full paper File format: .doc, available for editing
GRAB THE BEST PAPER98.9% of users find it useful
Corporate Finance and Risk
Read Text Preview

Extract of sample "Corporate Finance and Risk"

Download file to see previous pages

While Cheapmart has had a successful history in the United States and most West European nations, the company has faced some issues in Germany and Japan due to compliance issues with local legislation. Cheapmart is known for providing low cost retail products and is popular with millions of consumers as a cheap alternative for day-to-day groceries. The company sources a major chunk of its products mostly from cheap producers especially in the Far East and South East Asia and relies immensely on sound management for providing quality products at the cheapest prices to its customers.

The ability of ‘Cheapmart’ to offer products at highly competitive prices can be attributed directly to its rapid growth as well as a highly efficient logistics system that the company has established with suppliers across the globe enabling it to secure cheap and fresh goods. Cheapmart is also a source of employment with the local communities where it operates. The Account history for Cheapmart has been sourced from its Annual report that provides information on various financial parameters such as Assets (A), Liabilities (D), Total shareholder Equity (E), Earnings before Interest and Taxes (EBIT) and the Interest payment (I).

The overall financial performance of the company in terms of these variables during the financial year 2009 has been stated below. Matrices from page 17 to 30 have also been included. The only difference is that the pdf explains the process in a step by step manner and most are in fact exercises for the user. The cumulative probability table and thereafter provides a composite outlook.) From an overall perspective, Cheapmart operates under three market conditions namely good, average and bad.

The prospects of sales depend on per-capita consumer spending and the average consumption of a customer in kilos per year (since Cheapmart is primarily a grocery chain). Financial risk: Alan Hippe, CEO of Continental, noted that the total

...Download file to see next pages Read More
Tags
Cite this document
  • APA
  • MLA
  • CHICAGO
(“Corporate Finance and Risk Essay Example | Topics and Well Written Essays - 3000 words”, n.d.)
Corporate Finance and Risk Essay Example | Topics and Well Written Essays - 3000 words. Retrieved from https://studentshare.org/miscellaneous/1562323-corporate-finance-and-risk
(Corporate Finance and Risk Essay Example | Topics and Well Written Essays - 3000 Words)
Corporate Finance and Risk Essay Example | Topics and Well Written Essays - 3000 Words. https://studentshare.org/miscellaneous/1562323-corporate-finance-and-risk.
“Corporate Finance and Risk Essay Example | Topics and Well Written Essays - 3000 Words”, n.d. https://studentshare.org/miscellaneous/1562323-corporate-finance-and-risk.
  • Cited: 0 times

CHECK THESE SAMPLES OF Corporate Finance and Risk

Strategic Corporate Finance

Strategic corporate finance Name: Course: Professor: Institution: City and State: Date: Strategic corporate finance Capital structure of a company refers to the combination of debt and equity employed by that company to finance the operations of that company.... Equity financing has its own advantages in that there is no burden of debt hanging over the owner's heads, they therefore do not run the risk of going bankrupt unlike when financed by a debt....
6 Pages (1500 words) Essay

Portfolio Diversification and the Capital Asset Pricing Model

High returns are not the only deciding factor It depends on the risk involved in that investment.... Hence the investment decision is dependent on the returns, the risk involved (amount of uncertainty in generating the expected returns) and also the investor's utility indifference (attitude towards risk and expected returns).... A risk averse individual will always aim to reduce the risk involved in his investments and ensure a high return....
4 Pages (1000 words) Essay

Fundamentals of Corporate Finance

This paper "Fundamentals of corporate finance" discusses the purpose of corporate hedging as well as critically evaluates the arguments against and for corporate hedging.... A company can eliminate its unsystematic risk by means of diversification.... The risk after the company minimizes the unsystematic risk, is the systematic risk, or risk that cannot be eliminated as all businesses within an economy are exposed to it (Brealey, Myers & Marcus 2004)....
8 Pages (2000 words) Assignment

The Financials of Various Australian Companies

The corporate finance Looking at the given table of the financials of various Australian companies, we notice that Qantas Airways and Telstra Corp.... High-beta stocks are supposed to be riskier but provide a potential for higher returns; low-beta stocks pose less risk but also lower returns.... As table indicates for the companies where finance risks are low (like CSL and BHP Billiton), business risk is high and the companies with high finance risk (like Coca-Cola and Telstra), business risk is low....
2 Pages (500 words) Essay

Financing Public Private Projects

The risk factor in such an arrangement is evident.... They undertake a risk analysis that informs their decision to come aboard.... We shall look at project financing, how it works, the risk involved and how lawyers go about addressing the risk issues and cushioning their clients from loss as much as possible.... Given the complexity of a project financing transaction, the number of players involved and their nature and the amount of money invested, the risk is very high....
25 Pages (6250 words) Essay

How Risk Affects Corporate Financial Strategy

Various risks affect the strategies used by the corporate managers in relational to effective financial planning to meet organization needs regard the financing, capitalization, budgeting and risk management.... In such a case, the corporate finance managers may have to look for an alternative source of funds or forgo the plan for which the funds were required (Bender & Ward, 2012).... Various risks affect the Explain How risk Affects Corporate Financial Strategy....
2 Pages (500 words) Coursework

Enterprise Risk Management at Google

The author of this report undertakes a study of Google, Inc and discusses the steps that may be necessary to implement an effective enterprise risk management program.... Before many of the accounting scandals such as the one at Enron erupted, risk assessment standards were considered a separate niche from regulating and auditing standards.... Including risk assessment as a part of corporate governance provides investors the opportunity to periodically assess any potential risks that may arise....
5 Pages (1250 words) Research Paper

Changes in Firm's Capital Structure add Shareholder Value

The writer of this research will investigate whether the changes in a firm's capital structure can add shareholder value or do they merely change the level of risk.... The higher the level of debt the higher the level of risk.... But nevertheless the higher the level of risk the higher the possible returns on a given level of investment.... A risk is inevitably associated with the value of the firm viz.... Indeed the risk also increases though from the viewpoint of the manager it's irrelevant because equity issues would glut the market with company shares and bring down the value of the company....
12 Pages (3000 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