PS6004FIN International Finance Assessment Brief 2026 | Coventry University, Singapore

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      University Coventry University (CU)
      Subject PS6004FIN: International Finance

      PS6004FIN Assessment Brief

      Assessment Type :   Coursework
      Module title:  International Finance
      Module Number:  PS6004FIN
      Word limit: Maximum 2,000 words

      Learning Outcomes Assessed 

      The following learning outcomes are being assessed.

      • Analyse how the international dimension of finance affects the environment within which business operate and how it affects the decisions of the firm.
      • Compare the financial products available on international markets.
      • Devise and apply appropriate strategies using derivatives to manage currency risk.
      • Critically evaluate the use of derivative instruments to manage currency risk.

      Coursework Question

      This is an individual assignment. Select two publicly listed companies in the United Kingdom. Compare and contrast their foreign exchange market exposure with their hedging methods. Read companies’ 5-year annual reports.

      Prepare a report to answer the following questions:

      (1) Discuss the companies’ exposure to the foreign exchange market . (25m)
      (2) Analyse hedging methods utilised by the chosen companies to manage their currency exposures. (25m)
      (3)

       

       

      How can your chosen companies assess risk in the future? (15m)

      Examine how it incorporates macroeconomic factors such as inflation, interest rate differentials, and political risk into its foreign exchange risk management strategies. (15m)

      PS6004FIN Assessment Criteria

      Criterion Marks
      1. Introduction and Background

      Clear introduction of the organisation. Background information on the foreign exchange market exposure.

      5
      2. Analysis of Currency Exposures

      Explanation of companies’ currency exposures.

      25
      3. Hedging Methods

      Critical analysis and evaluation of companies’ hedging methods (including pros and cons).

      25
      4. Risk Assessment and Risk Management Strategies

      Analysis and discussion with relevant supporting information.

      30
      5. Research Skills

      Demonstrate the ability to conduct independent research at an appropriate level.

      2.5
      6. Evaluation and Interpretation Skills

      Evaluation, interpretation and presentation of relevant data and appropriate academic literature to support analysis, evaluation, and conclusions.

      2.5
      7. Presentation 

      Presentation of the assignment and level of professionalism demonstrated in sequence of analysis and evaluation, quality of visual aids/supporting documents.

      5
      8. Referencing

      Referencing according to Coventry University’s APA 7 referencing format.

      5
      Total 100

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      Many students struggle with analysing foreign exchange market exposure and comparing complex hedging methods in PS6004FIN international finance assignments. If you’re unsure how to interpret company annual reports or critically evaluate derivatives, our experts at Singapore Assignment Help provide 100% plagiarism-free, AI-free finance assignment help with accurate coventry university requirements. Get our best coursework writing help to strengthen your analysis and achieve higher marks.

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