Discussion: "Risk Management"
Please respond to the following:
• Assess the current market risk in the U.S. and Foreign Markets, indicating how a financial manager is likely to react given the risk level determined. Provide support for your answer.
• Considering the market risks of interest rate, foreign exchanges, and commodity price risk, assess the risk that you believe may have the most significant impact on a firm. Indicate how this risk can be managed effectively to minimize the effects of this risk.
• Please provide one citation/reference for your initial posting that is not your textbook. Please do not use Investopedia or Wikipedia.