Enterprise Risk Management at Lehman Brothers
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(Case Code: ERMT-016) click on the button below, and select the case from the list of available cases:
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Please note:
This case study was compiled from published sources, and is intended to be used as a basis for class discussion. It is not intended to illustrate either effective or ineffective handling of a management situation. Nor is it a primary information source.
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Case Details: |
Price: |
Case Code |
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ERMT-016 |
For delivery in electronic format: Rs. 300;
For delivery through courier (within India): Rs. 300 + Shipping & Handling Charges extra
Themes- |
Case Length |
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09 Pages |
Period |
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2003 |
Pub Date |
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2003 |
Teaching Note |
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Not Available |
Organization |
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Lehman
Brothers |
Industry |
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Banking |
Countries
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US, UK |
Abstract:
Lehman Brothers is a global player in equity and fixed income sales, trading and
research, investment banking, private equity and private client services. The
company faces various risks. These include credit risk, interest rate risk,
foreign exchange risk and equity risk. The case outlines the risks and the
mechanisms Lehman Brothers employs to deal with them.
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Contents:
Keywords:
Barrick, Hedging, Enterprise risk management, Gold mining,
Gold and silver price risk, Energy price risk, Interest rate risk, Currency
risk, Liquidity risk, Derivative risk, Risk management, Forwards, Strategy
Enterprise Risk Management at Lehman Brothers
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