FIN30014: Financial Risk Management Case Study, SUT, Malaysia Identify ONE financial risk faced by Alphabet Inc given the above scenario Systematically review and critically evaluate research from a variety
University | Swinburne University of Technology (SUT) |
Subject | FIN30014: Financial Risk Management |
Question 1
The next payment is due 6 months from now. Given the current economic environment in the US and globally, Alphabet Inc. fears that it will be adversely affected and wishes to hedge to reduce its risk related to interest rate changes. Based on this scenario, please answer the following questions:
(a) Identify ONE financial risk faced by Alphabet Inc. given the above scenario. Systematically review and critically evaluate research from a variety of sources to explain why you have identified this as a risk, and whether you would consider hedging. Please discuss in your answer the outlook for the underlying variable and cite evidence of an adverse and/or favorable direction. NB: reference list will not be part of the word count.
(b) For the risk, you have mentioned in part (a) please recommend a hedging strategy that is consistent with the outlook discussed in part (a) and explain why you have chosen this strategy above all others
(c) Irrespective of your answer above, assume you are using an exchange-traded option ‘combination’ strategy to hedge your risk. Please use real data from the CME group and provide the total cost of the hedge (the net premium), the strike prices used, and the number of contracts required. Show all calculations and provide screenshots of the data obtained from the CME group. Please do not include screenshots in an appendix, screenshots must be within part (c).
Required:
(a) Assume that you are a hedge fund manager and have invested in $1,000,000 worth of Russian government bonds one year ago and have decided to hedge the credit risk of these bonds at the time. Formulate a creative solution to hedge the credit risk of this reference entity. Analyse
how you can be protected from credit risk based on such a strategy and possible drawbacks.
(b) What are the implications of speculation using credit default swaps in the context given in the above article, to the broader society and economy? Provide examples where necessary.
Are You Searching Answer of this Question? Request Malaysian Writers to Write a plagiarism Free Copy for You.
Get Help By Expert
Elevate your academic success with expert online assignment writing services at Assignment Helper MY. Navigate the intricacies of the FIN30014: Financial Risk Management Case Study with confidence. Our dedicated assistance caters to Swinburne University of Technology (SUT) students, ensuring top-notch, tailored solutions. Let us guide you through comprehensive risk management analysis. Achieve excellence on every front with our proven expertise.
Recent Solved Questions
- Marketing Analysis Case Study, TU, Malaysia At its founding in 1906, Planters Peanut Company sold one nut type. Historically, peanuts were viewed as food
- EPS0317- You are instructed to prepare a sale and purchase agreement for a terrace house in Cheras: Bar Council Malaysia Ethics and Professional Standards Course, Assignment, UKM, Malaysia
- SBFS1103: Thinking Skills and Problem Solving Report, OUM, Malaysia Assuming you are a production manager in a semiconductor manufacturing company in Penang
- BHMC3004: Statistical Analysis for Communication Assignment, UOG, Malaysia Briefly explain how this could be done
- Video games have always been regarded as an enjoyable pastime and a sensational topic amongst teens and young adults: Art & Aesthetics in Video Games and How it Impacts the Player: Design Research, UOW, Malaysia
- BNNS 6234: Cardiovascular and Respiratory Nursing Essay, LUC, Malaysia Discuss the Management of patients with Underwater Seal Drainage focusing on nursing responsibilities
- LGSE3063: For this assignment, each group will have to write a stand-alone review on a specific topic: Academic Writing Assignment, UOC, Malaysia
- Introduction to C Programming Assignment, UON, Malaysia Explain the essential facts, concepts, principles, strategies, and theories relating to Information Technology applications
- Finance 2 Course Work, UM, Malaysia Perform an analysis of the overall stock market and economy of Malaysia for the next 6 months. Your analysis MUST include
- Entrepreneurship Essay, UUM, Malaysia What are the differences between managers and entrepreneurs, and why should entrepreneurs be concerned