With the interconnection of markets, management is different today. Decision-makers must continually take into account the whole range of factors related to globalisation, and integrate new strategies into their old equations in order to cope with currency risk exposures. This paper provides an analysis of foreign exchange risk management practices based on a sample of 150 Moroccan companies. These analyses are therefore based on observed, collected and measured facts about practices, methods and means used to hedge against foreign exchange risk.
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