Discussion Post: Cash Flow
Prior to beginning work on this discussion post.
In foreign investment analysis, what are the two methods used to incorporate factors affecting cash flows that vary across countries? What is the advantage of using a projected future exchange rate to translate both the local currency operating budget and actual results into parent currency?
The response should include a reference list. One-inch margins, Using Times New Roman 12 pnt font, double-space and APA style of writing and citations.