Working on a powerpoint presentation for International Finance.
I am making jets and will import the steel from Japan, the tires from Brazil and the final project will be exported to England.
1. How can I hedge against all the current changes? (please show work)
2. If I want to raise money to expand operation of my company, how can I raise cash in other countries to lower the cost of capital? (please show work)
3. What is the required rate of return for investors?
4. How can I hedge against multiple transactions that the company uses (i.e. calculate the appropriate beta and tell whether to buy or sell future to do the hedge.