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Abbot Group

S/F/60. Corporate Treasury Management for Abbot Group

WORDS:
3000
DATE:
2005
PRICE:
39.99 GBP

This report reviewed the current situations of risk exposures on currency risk and interest rate risk of Abbot Group, and recommends the possible hedging solutions for each of these risks, and then liquidity exposure is reviewed. Based on the above risk exposures, this report discussed whether the Group should adopt relationship banking or transaction banking in order to minimise the risks exposed.

 

KEYWORDS: f, corporate, treasury, management, abbot,

 
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