Economic Environments and Risk Mitigation

FIN 336 Milestone Two Guidelines and Rubric Economic Environments and Risk Mitigation

Overview: This milestone will help you complete Sections II and III of the final project.

Prompt: Develop a report that analyzes one company’s approach to multinational expansion. Include financial factors such as economic environments and market conditions, risk mitigation strategies, and ethical and legal practices.

Specifically, the following critical elements must be addressed:

II. Economic Environments and Market Conditions C. Explain the role of international financial markets and institutions in global environments in evaluating their impact on the company’s risk

management strategies. D. Analyze impacts of exchange rate on the company’s performance for determining if a loss occurred because of fluctuations or devaluations of

foreign currencies. Provide examples from the past year to support your claims.

III. Risk Mitigation: Examine sources of risk and risk reduction methods available to multinational corporations. Use the 2007–2008 annual report and the most current annual report to support responses in this section.

B. Discuss risks and financial factors associated with exchange rates and interest rates for assessing how they inform the company’s financial management approaches.

C. Discuss diversification in the company’s expansion model for examining advantages or disadvantages, and provide examples and financial information from the past year to support claims.

D. Discuss company strategies before and after the 2007–2008 crisis for determining possible reasons for the company’s current financial performance. Provide examples to support your claims.

Rubric

Guidelines for Submission: Your paper must be submitted as a 1- to 2-page Microsoft Word document with double spacing, 12-point Times New Roman font, and one-inch margins. Cite appropriate academic references as necessary.

Critical Elements Proficient (100%) Needs Improvement (75%) Not Evident (0%) Value

Economic Environments and Market Conditions: Financial Markets and Institutions

Explains the role of international financial markets and institutions in global environments in evaluating their impact on the company’s risk management strategies

Explains the role of international financial markets and institutions in global environments in evaluating their impact on the company’s risk management strategies, but explanation is cursory, illogical, or missing key elements

Does not explain the role of international financial markets and institutions in global environments

18

Critical Elements Proficient (100%) Needs Improvement (75%) Not Evident (0%) Value Economic

Environments and Market Conditions:

Impacts of Exchange Rate

Analyzes impacts of exchange rate on the company’s performance for determining if a loss occurred because of fluctuations or devaluations of foreign currencies, and provides examples from the past year to support claims

Analyzes impacts of exchange rate on the company’s performance for determining if a loss occurred because of fluctuations or devaluations of foreign currencies, and provides examples from the past year to support claims, but analysis or examples provided are cursory, illogical, or missing key elements or contain inaccuracies

Does not analyze impacts of exchange rate on the company’s performance

18

Risk Mitigation: Exchange Rates and

Interest Rates

Discusses risks and financial factors associated with exchange rates and interest rates for assessing how they inform the company’s financial management approaches

Discusses risks and financial factors associated with exchange rates and interest rates for assessing how they inform the company’s financial management approaches, but discussion is cursory or illogical or contains inaccuracies

Does not discuss risks and financial factors associated with exchange rates and interest rates

18

Risk Mitigation: Diversification

Discusses diversification in the company’s expansion model for examining advantages or disadvantages and provides examples and financial information from the past year to support claims

Discusses diversification in the company’s expansion model for examining advantages or disadvantages and provides examples and financial information from the past year to support claims, but discussion or supporting financial information is cursory or illogical or contains inaccuracies

Does not discuss diversification in the company’s expansion model

18

Risk Mitigation: Company Strategies

Discusses company strategies before and after the 2007–2008 crisis for determining possible reasons for the company’s current financial performance, and provides examples to support claims

Discusses company strategies before and after the 2007–2008 crisis for determining possible reasons for the company’s current financial performance, and provides examples to support claims, but discussion or supporting examples are cursory or illogical or contain inaccuracies

Does not discuss company strategies before and after the 2007–2008 crisis for determining possible reasons for the company’s current financial performance

18

Articulation of Response

Submission has no major errors related to citations, grammar, spelling, syntax, or organization

Submission has major errors related to citations, grammar, spelling, syntax, or organization that negatively impact readability and articulation of main ideas

Submission has critical errors related to citations, grammar, spelling, syntax, or organization that prevent understanding of ideas

10

Total 100%

  • FIN 336 Milestone Two Guidelines and Rubric
    • Economic Environments and Risk Mitigation

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