What sort of market risk is it exposed to? What is the companys beta? How does the company manage its various types of risk?

For this assignment you will be doing a overview of financial market risk on the company Caterpillar Inc. on their most recent financial statements (you can look them up on the web). You will have to address the following. What is the required rate of return for company investors?. At the beginning of the paper please give a brief history on caterpillar Inc then go into the analysis and questions.

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