Course Hive
Search

Welcome

Sign in or create your account

Continue with Google
or
Corporate Finance Explained | Emerging Markets
Play lesson

FinPod: Corporate Finance Explained - Corporate Finance Explained | Emerging Markets

5.0 (1)
19 learners

What you'll learn

This course includes

  • 22.5 hours of video
  • Certificate of completion
  • Access on mobile and TV

Summary

Keywords

Full Transcript

🌍 Expanding into emerging markets? Finance teams face a whole new level of risk and opportunity. In this episode of Corporate Finance Explained, we reveal how multinational companies manage currency risk, political instability, and regulatory complexity when operating in fast-growing economies. Learn how Tesla structured its China expansion, how Coca-Cola hedges naira risk in Nigeria, and how Unilever handles pricing and compliance in India. 📘 What You’ll Learn: Key financial risks in emerging markets (FX, capital controls, policy risk) Hedging strategies, local financing, and risk-adjusted modeling Case studies from Brazil, India, China, Nigeria, and Mexico How FP&A and treasury teams build resilient global finance strategies 💡 Related Resource: CFI’s Guide to Emerging Markets 🔔 Subscribe for more content on corporate finance, global strategy, and risk management. #EmergingMarkets #CorporateFinance #CurrencyRisk #TreasuryStrategy #GlobalExpansion #CFICourses

Course Hive

Continue this lesson in the app

Install CourseHive on Android or iOS to keep learning while you move.

Related Courses

FAQs

Course Hive
Download CourseHive
Keep learning anywhere