How would international worldwide structure the hedge

Assignment Help Financial Management
Reference no: EM131179671

International Worldwide would like to execute a money market hedge to cover a ¥ 250,000,000 shipment from Japan of sound systems it will receive in six months. The current exchange rate is ¥124 = $1.

(a) How would International Worldwide structure the hedge? What would it do to hedge the Japanese yen it must pay in six months? The annual yen interest rate is 4.5%.

(b) The yen may rise to as much as ¥138=$1or fall to ¥111=$1. What will the total dollar cash flow be in six months in either case?

Reference no: EM131179671

Questions Cloud

What is the breakeven residual value : Suppose Netflix is considering to purchase $5 million of equipment. This equipment will qualify for five years accelerated depreciation beginning in the same year as the capital expenditure. Compute the NAL. Should Netflix buy or lease this equipment..
Withdrawal will be made at end of her first retirement year : Your sister turned 35 today, and she is planning to save $7,500 per year for retirement, with the first deposit to be made one year from today. She will invest in a mutual fund thats expected to provide a return of 7% per year. Her first withdrawal w..
Depreciation expense and administrative expenses : Rogue Industries reported the following items for the current year: Sales = $6,000,000; Cost of Goods Sold = $3,000,000; Depreciation Expense = $270,000; Administrative Expenses = $290,000; Interest Expense = $60,000; Marketing Expenses = $60,000; an..
What will the firms unlevered beta be after refinancing : The firm’s unlevered (asset) beta is 0.77. Book and market values are equal. The firm has $40 million of debt, 5% interest rate, and $60 million of equity outstanding. The market risk premium is 4%.The firm is considering refinancing by selling bonds..
How would international worldwide structure the hedge : International Worldwide would like to execute a money market hedge to cover a ¥ 250,000,000 shipment from Japan of sound systems it will receive in six months. The current exchange rate is ¥124 = $1. How would International Worldwide structure the he..
Retirement increases the benefits of compound interest : Starting to invest late for retirement increases the benefits of compound interest. If the returns of two firms are negatively correlated, then one of them must have a negative beta. If inflation is expected to be relatively high, then interest rates..
What is the market price per share of stock : Say you decide to start a firm and you need $500 million of capital to begin. You sell stock for its par value, a total of one million shares (par value is $200 per share), and sell $300 million of bonds at par value. Assume that the market expects t..
What is the range of possible cost savings : Suppose IBM would like to borrow fixed-rate yen, whereas Korea Development Bank (KDB) would like to borrow floating-rate dollars. IBM can borrow fixed-rate yen at 4.75% or floating-rate dollars at LIBOR + 0.35%. What is the range of possible cost sav..
How much will be in your retirement account : You can afford to deposit $250 each month into your retirement account. For the first 15 years, your employer will match your deposits, but you plan to retire in 40 years. If your account is guaranteed to earn5.7%, compounded monthly, then ... how mu..

Reviews

Write a Review

Financial Management Questions & Answers

  Compute the discounted payback statistic for project

Compute the discounted payback statistic for Project D if the appropriate cost of capital is 10 percent and the maximum allowable discounted payback is four years.

  Risk associated with an individual security

According to the Capital Asset Pricing Model (CAPM), what determines the amount of reward an investor receives for bearing the risk associated with an individual security?

  What are the earnings per share at the given level

What is the level of EBIT at the indifference point between these two alternatives? What are the earnings per share at this level?

  Nowc and dcf analysisnbspthe comstock corporation is

nowc and dcf analysisnbspthe comstock corporation is considering investing in a new floor mat manufacturing machine

  What does consumer protection have to do with that crisis

According to the Dodd-Frank Wall Street Reform and Consumer Protection Act (2010). a)Do you think it will prevent a financial crisis like the one in 2007-08? What does consumer protection have to do with that crisis? What happened to banks that were ..

  Issue perpetual preferred stock

Barton Industries can issue perpetual preferred stock at a price of $52 per share. The stock would pay a constant annual dividend of $4.40 per share. If the firm's marginal tax rate is 40%, what is the company's cost of preferred stock?

  What is the required rate of return on okefenokee stock

The total market value of Okefenokee Real Estate Company's equity is $3 million, and the total value of its debt is $2 million. The treasurer estimates that the beta of the stock currently is 1.1 and that the expected risk premium on the market is 10..

  Review the employee selection procedures

Do you believe that this is a fair test? Why or why not? If you are asked to review the employee selection procedures, would you make any changes to this system? Why or why not?

  Considering undertaking a land improvement practice

You are considering undertaking a land improvement practice that will cost you $120 per acre to establish and an additional $8 per acre to maintain over the next 10 years. Assuming a real discount rate of 4%, what is the present value of the total co..

  Partial balance sheet and income statement

A partial balance sheet and income statement for King Corporation follow: The trade receivables at December 31, 2010, were $280,000, net of an allowance of $8,000, for a gross receivables figure of $288,000. The inventory at December 31, 2010, was $5..

  Optimal replacement life for equipment

Which of the following is not necessarily to be estimated for a "optimal replacement life for equipment" decision?

  Using two-step binomial model

Value of a stock is currently at $40. Volatility of that stock is 30% per year and risk- free interest rate with continuous compounding is at 2.5% per year. Find the value of a 6-month call and a 6-month put option using a two-step binomial model. Bo..

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd