Foreign Exchange Risk Management
17 questions from 2 subjects
17
Questions
2
Subjects
Key Subtopics:
Annual rate of premium calculationAvail supplier offer of 90 days credit and utilize cash availableBorrowing and Repaying in GBPConverting exchange ratesCost Comparison of AlternativesCost Comparison of Spot vs ForwardCurrency FuturesExpected Gain/LossExpected Loss CalculationExtending Forward Contract
Difficulty Distribution
Easy: 0
Medium: 16
Hard: 1
By Subject
Advanced Financial Management (CA Final)
14 medium
1 hard
Financial Reporting (CA Final)
2 medium
Advanced Financial Management
15 questions Q. 1(b) (4 marks)
2025 September
medium practical
Q. 6(b) (7 marks)
2025 September
medium practical
Q. 10 (14 marks)
2025 Sep Rtp
medium practical
Q. 6(a)
2020 October Mtp
medium practical
Q. 6(b)
2020 October Mtp
hard practical
Q. 4
2015 May
medium practical
Q. 5
2015 May
medium practical
Q. 6
2015 May
medium practical
Q. 1(b) (6 marks)
2023 May
medium practical
Q. 1(a) (8 marks)
2022 May
medium practical
Q. 8
2022 Nov Rtp
medium practical
Q. 9
2022 Nov Rtp
medium practical
Q. 4. (a)
2017 November Mtp
medium practical
Q. 17
2015 November
medium practical
Q. 2(a) (8 marks)
2020 November
medium practical