Example: tourism industry
Search results with tag "Chapter vi currency risk management"
CHAPTER VI CURRENCY RISK MANAGEMENT: FUTURES …
www.bauer.uh.eduto the use of futures or forwards as a cash market proxy, regardless of whether this ratio will be applied to a hedge, an income enhancement strategy or a speculative position. ... 30-, 90-, and 180-day forward rate quotations appear directly under the Canadian dollar. The Wall Street Journal presents similar forward quotes for the other five ...