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These excerpts taken from the WDC 10-K filed Aug 20, 2008. Forward
Exchange Contracts
We purchase short-term, forward exchange contracts to hedge the
impact of foreign currency fluctuations on certain underlying
assets, liabilities and commitments for operating expenses and
product costs denominated in foreign currencies. See
Part II, Item 7A, under the heading Disclosure
About Foreign Currency Risk, for our current forward
exchange contract commitments.
Forward Exchange Contracts We purchase short-term, forward exchange contracts to hedge the impact of foreign currency fluctuations on certain underlying assets, liabilities and commitments for operating expenses and product costs denominated in foreign currencies. See Part II, Item 7A, under the heading Disclosure About Foreign Currency Risk, for our current forward exchange contract commitments. This excerpt taken from the WDC 10-K filed Aug 28, 2007. Forward
Exchange Contracts
We purchase short-term, forward exchange contracts to hedge the
impact of foreign currency fluctuations on certain underlying
assets, liabilities and commitments for operating expenses and
product costs denominated in foreign currencies. See
Part II, Item 7A, under the heading Disclosure
About Foreign Currency Risk, for our current forward
exchange contract commitments.
This excerpt taken from the WDC 10-K filed Nov 20, 2006. Forward
Exchange Contracts
We purchase short-term, forward exchange contracts to hedge the
impact of foreign currency fluctuations on certain underlying
assets, liabilities and commitments for operating expenses and
product costs denominated in foreign currencies. See
Part II, Item 7A, under the heading Disclosure
About Foreign Currency Risk, for our current forward
exchange contract commitments.
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