Explain measures and techniques used to manage international portfolio investments. Then, contrast determinants of MNC direct foreign investments in advanced countries versus emerging nations.
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Explain measures and techniques used to manage international portfolio investments. Then, contrast determinants of MNC direct foreign investments in advanced countries versus emerging nations.
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- What are the benefits of international portfolio diversification? Outline the arguments in favour of diversifying internationally than domestically. Discuss the possible reasons why securities are much less correlated across countries than within a country.Discuss risk mitigation strategies for foreign financial statement analysis.Differentiate between Portfolio Investment theoretically and graphically the effect of movement of capital from one country to and Direct Foreign Investment. Explain another country on home and the host country. Also, define exchange rate and discuss theoretically and graphically how it is determined in market. note make the graphs and its explanation graph and its explanation is necessary
- How can we measure whether short-term international capital markets are fully integrated or not? Does the available evidence indicate that they are integrated? Critically evaluate your answer.How may the domestic cost of capital for a foreign venture be adjusted to account for currency rate risk, political risk, and nation risk?what risks and capital budgeting issues may arise with international investments and what strategies will help to reduce these risks.
- Describe the market for foreign investment.In what ways do investors quantify the risk levels between domestic and foreign securities? What asset allocation strategies and weightings would you consider when investing in international securities? Explain your reasoning.Identify an economic crisis or turning point that had significant impacts to certain industries in the U.S. market. Explain why investing in international markets can be a good strategy to hedge against this.Why is maintaining a portfolio that contains foreign securities considered a good long-term investment strategy?