CASE STUDY. MANAGEMENT OF EXCHANGE RATE RISK IN AN EXPORTING COMPANY (Article published in Spanish)
DOI:
https://doi.org/10.1016/S0123-5923(11)70189-9Keywords:
Exchange rate risk, economic value added, globalization, currency risk hedging.Abstract
In a global environment, companies face exchange rate risk due to their need to conduct operations abroad. Risk must be managed properly in order to identify its impact on the viability and profitability of companies and to take proper risk mitigating measures. The case study under review analyzes the exchange rate risk of an exporting company in order to determine the probable impact of this risk. Furthermore, it discusses various alternatives to mitigate currency risk.
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References
Arango, G. (2005). Estructura económica colombiana. (10 ed.). Bogotá: McGraw-Hill Interamericana editores.
Cabrera, A. y Alonso, J. (2004). Apuntes de Economía: La tasa de cambio nominal en Colombia, 2, 1-27.
Videla, P., Pastor, A y Rahnema, A. (1997) Mercados financieros internacionales: La unión económica y monetaria europea. Sistemas Cambiarios. Gestión de Riesgos de Tipos de Cambio. Barcelona, España: Ediciones Folio Series biblioteca IESE de gestión de empresas.
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