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1. If you were the CFO of a firm today planning to have excess cash for a 90120-day period, what would you do with it
1. If you were the CFO of a firm today planning to have excess cash for a 90120-day period, what would you do with it keeping in mind your goal of maximizing shareholder wealth? Whats your justification for this decision?
2. what are some of the reasons why firms would want/need to issue fixed income security in general?
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