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Paper Title

THE IMPACT OF GEOPOLITICAL CONFLICTS ON FINANCIAL DECISIONS OF ORGANISATIONS

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Registration ID: IJNRD_220521

Published ID: IJNRD2405098

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Keywords

Geopolitical conflicts; Exchange Rates; Trade Policy; Fiscal and Monetary Policies; Cross-Border Capital Allocation

Abstract

Abstract: The goal of this study at present has been to analyse and critically assess the effects of geopolitical conflicts on companies' financing decisions. At its core, geopolitical risk is defined as the risks that result from interactions between countries. The major findings of the report have further shown that with exploration of the complexities of the global investment and trade environment amid the geopolitical tensions, it is clear that firms that are heavily involved in the international market are facing severe challenges. Rising power conflicts and changing alliances are also playing a role in this scenario. Hence, the key challenges that these firms face are related to poor financial and investment choices. Exchange rates, trade policy, investment choices and risk management approaches are just a few of the key elements that are affected by geopolitical events. Moreover, the real case scenarios such as; Apple facing poor trade and financing scope in China due to the U.S. and China trade war, and HSBC facing exchange rate or currency issues against USD are some of the fewer examples that have been incorporated in the report to make better and clear understanding of geopolitical conflicts creating adverse situations for firms in their financing decisions and investment scope. Along with this, the responses to shape firms' challenges of geopolitical conflicts, international institutions such as; IMF, WTO and UN alongside national governments focusing on fiscal and monetary policies and global economic trends related to cross-border allocation of capital has also been analysed. Significantly, based on the overall critical discussion, certain recommendations have been drawn as the alternative financial strategy that firms can adhere to while exposed to geopolitical risks. Contextually, the recommendation of open hedging with currency exposure has been recommended as it would be safest strategy of investment and financing in context of present geopolitical climate that would address trade on innovation.

How To Cite (APA)

Tarunima Das (May-2024). THE IMPACT OF GEOPOLITICAL CONFLICTS ON FINANCIAL DECISIONS OF ORGANISATIONS. INTERNATIONAL JOURNAL OF NOVEL RESEARCH AND DEVELOPMENT, 9(5), a921-a933. https://ijnrd.org/papers/IJNRD2405098.pdf

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Other Publication Details

Paper Reg. ID: IJNRD_220521

Published Paper Id: IJNRD2405098

Research Area: Management

Author Type: Indian Author

Country: Kolkata, West Bengal, India

Published Paper PDF: https://ijnrd.org/papers/IJNRD2405098.pdf

Published Paper URL: https://ijnrd.org/viewpaperforall?paper=IJNRD2405098

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