The point of this Research paper is to analyze the history and application financial instruments used to mitigate financial risk. Including foreign exchange forward contracts, forward currency options, interest rate swaps, interest rate options and derivatives. As well as 5 pages of quantitative analysis showing how these techniques are used.
This paper needs to be properly cited, 15 pages of “research” and relevant content, as well as 5 pages (give or take) of the formulas that would be used with notation about the process during the equations.
Everything is negotiable.
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