“Discuss the use of the US ‘futures’ markets as a risk management technique companies can use to reduce their risk” Academic Essay

Paper structure:

-Cover Page(1 page)
-Executive Summary (should summarize the aims and key findings) (1 page)
-Contents page(1 page)
-Introduction; introduction to the topic (answer the questions such as; why look at it, why hedge risk) (1page)
-Literature Review; summary of journal papers on ‘futures’ (summary of key academic literature about future markets) (at least 3 articles) (2 pages)
-Case study; general details and discussion (example of an actually company and actually solutions ( %70 percent of the coursework should be this part)
-Conclusion (half page conclusion of paper)

*add as many bloomberg graphs and tables as possible

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