Financial markets face many challenges. Your boss will be giving a speech at the company's annual meeting. Hundreds of senior managers will be attending. She has tasked you with providing detailed research so that she can address these managers and answer a burning question: What is the biggest crisis facing financial markets right now?
Your boss is under pressure to do a good job. She is relying on you. In a conversation with her, she suggested two crises to consider: A possible rout in the bond market and a credit crisis in emerging markets.
Here are some ideas for your project:
- How much money has been borrowed in the energy sector by smaller companies hoping to capitalize on the oil market in the last two years?
- When will these borrowings come due?
- How much money has been borrowed in the junk bond sector?
- Which industries are the top offenders?
- Which banks/lending institutions are at greatest risk?
- How much money do the BRICS owe?
- To whom do they owe it?
- What is your best estimate of the likelihood of these funds being paid back?
- After amassing the data, which of the two crises identified by your boss is more significant? What advice or solutions might she provide in her speech?