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Management Programme
ASSIGNMENT
SECOND SEMESTER
(July to December)
2020
MFP-004: CURRENCY AND DEBT MARKETS
School of Management Studies INDIRA GANDHI NATIONAL OPEN UNIVERSITY MAIDAN GARHI, NEW DELHI – 110 068
ASSIGNMENT | ||
Course Code | : | MFP-004 |
Course Title | : | Currency and Debt Markets |
Assignment No. | : | MFP-004/TMA/Sem-II/2020 |
Coverage | : | All Blocks |
Note: Attempt all the questions and submit this assignment to the Coordinator of your Study Centre on or before 31st October, 2020.
- Briefly explain the structure of the currency markets in India. Explain the difference between exchange traded and OTC derivatives market.
- What are Forward Rate Agreements (FRAs)? Explain how FRAs can be used to hedge currency risk.
- Explain the significance and functions of Indian Debt markets and describe the main participants in these markets.
- What is interest rate risk? Explain the interest rate sensitivity policy and discuss its broad parameters.
- What is convexity? Explain how the Value of a Zero coupon bond; premium bond, par bond and discount bond calculated.
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