Financial Risk Management at American Electric Power
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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:
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Price: |
Case Code |
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FINA013 |
For delivery in electronic format: Rs.
300; For delivery through courier (within India): Rs.
300 + Shipping & Handling Charges extra
ThemesBanking and Financial Management/ Concepts/ Markets/ EVA/ Microfinance |
Case Length |
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14 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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American
Electric Power Company |
Industry |
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Electric |
Countries |
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USA |
Abstract:
American Electric Power Company (AEP) is one of the largest electric public
utility holding companies in the US. The company faces many financial risks.
These include commodity price risks, interest rate risks, foreign exchange
risks, liquidity risks and credit risks. The case outlines the risks and the
risk management policies AEP employs to deal with them.
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Contents:
Keywords:
American Electric Power Company, Interest rate risk, Financial risk management, Foreign exchange risk, Derivatives contracts, Liquidity risk, Credit risk, Wholesale energy market, US electric power company, Commodity price risk, US electric industry
Financial Risk Management at American Electric Power
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