Managing Risk in Overseas Markets View Archive
This guide examines the issues impacting businesses’ risk management strategies when trading overseas, as well as finding the opportunities for future growth in what remains a difficult and unpredictable global economic and political environment.
Managing risk: Focus on Europe
IN 2012 and 2013, harsh adjustment to a new fiscal reality will be unavoidable, regardless of the path eurozone politicians decide to embark on.
Managing risk: take an integrated approach to FX and cash flow
BUSINESSES today must look at their risk management strategies for both FX and cash management in tandem.
Managing risk: Music Magpie creates natural hedging
CLOSE to half of turnover at Entertainment Magpie, the company behind the innovative Music Magpie business, comes from overseas.
Managing risk: Can your company afford not to do business overseas?
FOR an increasing number of companies overseas trade is a requisite to leverage the costs of doing business in a home market where margins...
Managing risk: treasury policy is crucial when trading overseas
WHEN managing currency risk, there is a trade-off between what you are trying to achieve and how much flexibility you want – getting that...


