FASB Cash Flow Hedges Hedging Interest Rate Risk of Foreign-Currency-Denominated Floating-Rate Debt
Derivatives Implementation Group
Statement 133 Implementation Issue No. G8
| Title: | Cash Flow Hedges: Hedging Interest Rate Risk of Foreign-Currency-Denominated Floating-Rate Debt |
| Paragraph references: | 28, 29, 349-350, 425 |
| Date cleared by Board: | May 17, 2000 |
| Superseded by: | FASB Statement No. 138, Accounting for Certain Derivative Instruments and Certain Hedging Activities |