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Tech Inc is a U.S.-based importer of European soccer gear. Q-Tech's financials are the following: Enterprise value USD 50 million; total net debt USD 12 million out of that USD 2 million are EUR-denominated net debt. Assume that FX business exposure to the EUR is -1.40. Q-Tech also has a long position on a 3-year fixed-for-fixed USD/EUR swap with a notional of USD 5 million (assume this is an at-market swap). What is the FX equity exposure of Q-Tech Inc.?
What is the difference between risk and uncertainty and what are the methods of risk management?
If the interest rate was 8% per year throughout the whole period, what was the amount he withdrew at the end of the eight year?
1.organizational culture is in many ways beneficial for an organization and its employees but it can also be a
Research the Internet to locate an age discrimination case. Explain the outcome of the case and identify three (3) considerations
Computation of YTM if the bonds are purchased at Issue price & Market price and analyzing the difference
You expect to receive $10,000 at graduation in two years. You plan on investing it at 11 percent until you have $100,000. How long will you wait from now?
Post Card Depot, an large retailer of post cards, orders 3,523,730 post cards per year from its manufacturer. Post Card Depot plans on ordering post card 6 times over the next year. Post Card Depot receives the same number of post cards each time ..
What has been the trend in mergers and acquisitions in recent years? Up, down? What are some of the explanations? Is there evidence that the trend may change? The paper can be 800-100 words.
Vanessa wants to create a scholarship fund by saving for several years before the fund starts making annual scholarship payments forever
The price quotations of treasury bonds in the wall street journal show an ask price of 104:32 and a bid price of 104:16.
what recommendation would you offer the firms management with regard to this product?
Using only the pure expectations theory, what are the current interest rates on two-year and three-year securities?
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