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英国电信产业管理财务风险硕士论文-Managing Financial Risks with Derivatives: The case of the UK Telecommunications Industry

论文作者:留学生论文网论文属性:硕士毕业论文 dissertation登出时间:2011-12-13编辑:anterran点击率:8477

论文字数:10443论文编号:org201112131132385911语种:英语 English地区:英国价格:$ 88

关键词:管理财务风险论文英国电信产业Managing Financial RisksDerivativescaseUK Telecommunications Industry

摘要:管理财务风险论文-关于英国电信产业-Managing Financial Risks with Derivatives: The case of the UK Telecommunications Industry

Managing Financial Risks with Derivatives: The case of the UK Telecommunications Industry
Abstract
The increased volatility of the financial markets, has given rise to increased financial price risks faced by companies. Companies are now exposed to risks caused by unexpected movements in exchange rates and interest rates. With the growing global presence of the telecommunications industry, the companies in these industries are exposed to a wide range of financial risks, in particular foreign exchange risks and interest rate risk. The management of these risks has become paramount for the survival of companies in today’s volatile financial markets.

1.0 . Introduction

Over recent decades, the financial markets have become more volatile due to significant changes, which have taken place in the domestic and international financial markets. In the post war period, managers of corporations worried little about foreign exchange rate and interest rates, as interest rates were fairly stable and the fixed exchange rates of the Bretton Woods era allowed companies know with great certainty the amount of home currency it expected to pay for imports. However since the 1970’s changes occurred. After the collapse of the Bretton Woods system and the move to generalized floating among the major exchange rates, it soon became clear that large movements in exchange rates were occurring far more frequently than many flexible rate advocates had expected, with the rates fluctuating widely in unanticipated directions and magnitudes, which consequently affected interest rate movements as the monetary authorities tried to influence exchange rates by movements in interest rates, (see Figures 1 and 2).

The business world today has little doubt about the existence of currency risks and interest rate risks. With the persistent volatility of these factors, businesses, whether multinational corporations or domestic firms who are exposed to the impact of exchange rate changes through international competition, can be largely affected by these unanticipated movements and can cause very large gains or losses if the risks remain unmanaged. Exchange rates movements generate business risks of many types,

1.1. Research Objectives
1.2. Telecommunications Industry
2.0. An Overview

2.1. Risk Management Objectives

2.3.  Measurement of Risk
2.3.  Derivative Instruments
5.0. CONCLUSIONS

REFERENCES
1. Aggarwal, R., Soenen, L. (1989) Cash and foreign exchange management: theory and corporate practice in three countries, Journal of Business Finance and Accounting, Winter,  pp.599-619
2. Aabo, T. (1999): Exchange Rate Exposure Management: An Empirical Study into the Strategies and Practices of Industrial Companies, Working Paper, Aarhus School of Business, June 1999.

3. Accounting Standards Board (1998) Derivatives and other financial instruments: disclosures, Financial Reporting Standards 13, ASB Publications.

4. Bartram, S. M., Brown, G. W., Fehle, F. R. (2003) International evidence on financial derivatives usage, Economics Working Paper at WUSTL

5. Belk, P. A.  and Edelshian, D. J., (1997) Foreign exchange risk management-The Paradox, Managerial Finance, 23, 7, pp

6. Belk, P. A./ Glaum, (1990) The Management of Foreign Exchange Risk in UK Multinationals; An Empirical Investigation, Accounting and Business Research Vol 21, pp.3-13

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