Posted: September 2nd, 2015

Potential risks involved in credit derivative

Google and Earnings Guidance
This case study is more like “position paper”. You would review the literature (the case), list out the different options / approaches / alternatives, discuss & assess the strengths and weaknesses of each alternative, and then select your own approach / make a recommendation.

provide a business report that includes:

Overview: the issues / business case; the parties involved.
Proposed solutions: Strength analysis.
Proposed solutions: Potential risks involved in this credit derivative deal.
Critique / evaluate on the proposed “talk points” to clients.
Develop a set of recommendations supported by your analysis. Evaluate alternative proposals (pros and cons). Address the implementation issues in an applied corporate setting. Discuss or elaborate potential risk concerns (if applicable).
Provide some analysis of the bond features in Exhibit 1, e.g. coupon frequency, discount vs. premium bond, etc.
Concluding remarks; Reference.

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