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 您所選取的商品項目

> Liability Management at General Motors

商品編號: 9-293-123
出版日期: 1993/03/24
作者姓名:
Tufano, Peter
商品類別: Finance
商品規格: 18p

再版日期: 2008/07/03
地域: North America
產業: Automotive
個案年度: 1992 -  1992

 


商品敘述:

An analyst at General Motors charged with managing the structure of the automaker''s debt must decide whether and how to modify the interest rate exposure of the firm''s most recent debt offering. The analyst must take into consideration GM''s liability management policy guidelines, the firm''s existing interest rate exposure, his expectations of interest rates, and the wide range of interest rate products available. He must decide whether to leave the fixed-rate instrument unchanged or to enter into a swap, cap, interest rate option, or swap option transaction.


涵蓋領域:

Debt management;Liability;Risk management;Hedging;Capital structure;Financial management;Interest rates


相關資料:

Case Teaching Note, (5-296-062), 16p, by Peter Tufano;
Spreadsheet Supplement, (XLS080), 0p, by Peter Tufano