Provide a business report (3 pages, graduate school-level quality) that includes:
• Overview: the issues / business case; the parties involved.
• Proposed solutions: Strength analysis.
• Proposed solutions: Potential risks involved in this credit derivative deal.
• Critique / evaluate on the proposed "talk points" to clients.
• Provide some analysis of the bond features in Exhibit 1, e.g. coupon frequency, discount vs. premium bond, etc.
• Concluding remarks.
• Charts / tables / statistical calculations are strongly encouraged when applicable.
• References.
Attachment:- Farallon-Capital-Management.rar