There are some questions in attached files and please answer them in details. The words should be in 2 paragraphs each questions.
1. Having researched derivatives for investment portfolios, do you believe there is a need for them as hedging vehicles in corporate finance? If so, how would you incorporate derivatives in your investment program?
2. Reflecting on the course, what were the key learning experiences? (The course is called investment analysis and portfolio management.)
3. Going forward, how might you apply what you have learned in this course as a future corporate investment manager?
4. What macroeconomic variable do you think corporate financial managers should be preparing for in the next 5 to 10 years?
5. What concepts and/or skills learned in this class will prepare you for the impact of this variable in your professional or personal life? Please explain and provide specific examples.