Financial Risk Management at Mitsubishi Corporation

Case Code: FINA017 Case Length: 16 Pages Period: 2003 Pub Date: 2003 Teaching Note: Not Available |
Price: Rs.500 Organization: Mitsubishi Corporation Industry: Trading Countries: Japan Themes: Banking and Financial Management, Microfinance |

Abstract Case Intro 1 Excerpts
Abstract
Mitsubishi, the Japanese trading company has six main business groups dealing in living essentials, metals, machinery, energy, chemicals and software, logistics, telecommunications and other services. The company faces various financial risks: foreign currency risk, translation risk, transaction risk, interest rate risk and credit risk. The case outlines the risks and the mechanisms Mitsubishi employs to deal with them.
Contents
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Introduction
Background Note
Overview of Risk Management
Market Risk
Financial Instruments: Accounting & Valuation
Exhibits
Keywords
Mitsubishi, Financial risk management, Risk; Enterprise risk management, ERM, Sogo Shosha, Market risk, Foreign currency risk, Transaction risk, Credit risk, Derivatives valuation, Derivatives accounting, US GAAP (generally accepted accounting principles), FAS-133 and FAS-115, Translation risk
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