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Papers On Money & Banking / Corporate Finance
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Credit Risk Measurement
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This 19 page paper is written in two parts. The first part looks at the various approaches to credit risk measurement in banking. This includes consideration of default-mode models (DM) and marked-to-market models (MTM) as well as reduced-form models and hybrids such as CreditMetrics. The case of BCCI is then considered with reference to the use of credit risk measurement. The second part of the paper looks at tools such as value at Rick (VaR) and the Monte Carlo simulation model how they can be used and their advantages and disadvantages. The bibliography cites 12 sources.
Filename: TEbankcredt.rtf

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This 4-page paper discusses how the U.S. banking system failed in 2008, and potential solutions to this issue. Bibliography lists 5 sources.
Filename: MTcrisbank.rtf

Criteria for Evaluating an Investment Firm
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This 10 page paper examines criteria used to hire an investment brokerage firm. Using a hypothetical case study provided by a student, it is presumed that a firm comes into some cash and wants to invest. How to go about hiring a firm is discussed. Sections included are: Table of Contents, Executive Summary, Introduction, Methodology, Investment Firm Criteria and Conclusion. Bibliography lists 4 sources.
Filename: SA427inv.rtf

Crown Case
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This 10 page paper is written in two parts. The first part look at a case where a company needs to raise capital, considering way they may want to raise capital and assessing the advantages and disadvantages of each method. The second part of the paper is made of calculations supporting the arguments for the use or rejections of a new share issue, loans or debentures. The bibliography cites 1 source.
Filename: TEcrownca.rtf

CSX’s Acquisition of Conrail
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An 8 page paper based on Harvard Case 9-298-006: The Acquisition of Consolidated Rail Corporation (A). The paper discusses the differences in the two companies in terms of financial results; the influence of the merger on Eastern railroads; and the benefits that the new entity can expect after merging. The paper concludes with a discussion of the excessive price that CSX offered for acquisition shares of Conrail stock. Bibliography lists 3 sources.
Filename: KSfinCSXconrail.rtf

Currency Hedging
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This 7 page paper discusses at currency hedging, defining what it is and looking at how it is used and the way that currency hedging can reduce exposure to risk of currency exchange rates. The bibliography cites 4 sources.
Filename: TEhed001.rtf

Currency Risk Management
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A 10 page paper discussing the external and internal need for managing the currency risk that organizations increasingly deal with as globalization continues to increase. The trend brings with it the need to equalize business results based on widely varying changes in world currencies. In recent years, the dollar has been strong relative to other major currencies of the world, and while good for the US economy, a dollar greatly stronger than other major world currencies creates a bevy of problems for multinational organizations. Because currency values are never static but can be depended on to regularly change in exchange value, organizations must devise measures that minimize the effects of that currency exchange rate movement. The paper provides several corporate examples, including Caterpillar, Merck, Honeywell and Dow Chemical. Bibliography lists 5 sources.
Filename: KSacctCurrRiskMgmt.rtf

Currency Risk Management at McDonald's
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A 5 page paper discussing McDonald's approach to currency risk management for its international operations. McDonald's finances in local currencies, hedges some cash flows and purchases supplies in local currency. Bibliography lists 7 sources.
Filename: KSfinCurRiskMgMcD.rtf

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