the current market risk in the U.S. and Foreign Markets, indicating how
a financial manager is likely to react given the risk level determined.
Provide support for your answer.
the market risks of interest rate, foreign exchanges, and commodity
price risk, assess the risk that you believe may have the most
significant impact on a firm. Indicate how this risk can be managed
effectively to minimize the effects of this risk.
provide one citation/reference for your initial posting that is not
your textbook. Please do not use Investopedia or Wikipedia.