Total word limit 350 words)
- In generating their forex forecasts, NAB economists would have made a number of assumptions. These may or may not hold. For instance, take the AUD/USD forecast. Outline factors or events that may render the forecasts inaccurate.
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Hedging/foreign exchange risk management
- In question 2, we looked at exposures of an Australian company in major currencies such as USD and JPY. If the firm had exposures in currencies such as Brazilian Real or Indonesian Rupiah, what options does the firm have in terms of hedging/foreign exchange risk management?