MIM Case Study Analysis Academic Essay
- Why did Harvey Smith ask the professors to do the MIM benchmarking study in the summer of 1994?
- What were the principal risks to which MIM shareholders were exposed at the time? What were the consequences for MIM?
- What were the principal risks to which MIM bondholders and bank lenders were exposed at the time? What were the consequences for MIM?
- Is there a difference between the approach to MIM risk assessment between shareholders and creditors?
- How does this case go to the heart of MIM’s corporate strategy?
- Based on the professors’ report, how would you propose MIM senior management react to it?
- What are the main factors that will influence the development of the global LNG market over the next 10 years? How could such risks and uncertainties be mitigated for an LNG project finance creditor?
- How does Cheniere’s chosen project finance debt strategy for Sabine Pass Liquefaction affect Societe Generale, its lead project finance bank, from a business, financial and regulatory perspective?
- What are the potential drawbacks of Cheniere’s current financing approach for the Sabine Pass LNG liquefaction project? What other markets or financing options might be available to the company?
- You are the high yield bond portfolio manager at XYZ Asset Management Company. Would you purchase Cheniere’s latest May 2014 Sabine Pass Liquefaction bond issue? Discuss all of the fundamental and technical reasons for your decision.
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