OFA and Risk Management Research Paper by Master Researcher

OFA and Risk Management
This paper examines the Ontario Financing Authority (OFA) financial risk management strategies.
# 84379 | 3,825 words | 15 sources | 2005 | US
Published on Dec 01, 2005 in Accounting (Financial) , Canadian Studies (Economics and Finance)

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This paper discusses the Ontario Financing Authority's (OFA) financial risk management program. Various risks are discussed and analyzed including liquidity risks, foreign currency exchange rate risks, debt maturity rate risks, and interest rate risks. The writer points out that in order to mitigate the financial risks inherent in a large and diversified debt portfolio, it is important for the province to maintain prudent risk management policies and practices.

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APA Format

OFA and Risk Management (2005, December 01) Retrieved June 25, 2019, from https://www.academon.com/research-paper/ofa-and-risk-management-84379/

MLA Format

"OFA and Risk Management " 01 December 2005. Web. 25 June. 2019. <https://www.academon.com/research-paper/ofa-and-risk-management-84379/>