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International Financial Management 6th Revised edition [Hardback]

  • Formāts: Hardback, 784 pages, height x width: 254x152 mm, weight: 1452 g, maps
  • Izdošanas datums: 13-Jul-1999
  • Izdevniecība: South-Western
  • ISBN-10: 0324009550
  • ISBN-13: 9780324009552
Citas grāmatas par šo tēmu:
  • Formāts: Hardback, 784 pages, height x width: 254x152 mm, weight: 1452 g, maps
  • Izdošanas datums: 13-Jul-1999
  • Izdevniecība: South-Western
  • ISBN-10: 0324009550
  • ISBN-13: 9780324009552
Citas grāmatas par šo tēmu:
A textbook for a graduate or undergraduate the questions, problems, and cases for each chapter range in difficulty course for students with an understanding of basic corporate finance. Madura (Florida Atlantic U.) first provides a background on the international environment, then focuses on the managerial aspects from a corporate perspective. The first two parts provide the macroeconomic framework, and the remainder considers the microeconomics. Each chapter is self- contained to cover some topics while class time is used to concentrate on others. Annotation c. Book News, Inc., Portland, OR (booknews.com)
PART I THE INTERNATIONAL FINANCIAL ENVIRONMENT 1(150)
Chapter 1 Multinational Financial Management: An Overview
3(28)
Chapter 2 International Flow of Funds
31(26)
Chapter 3 International Financial Markets
57(40)
Chapter 4 Exchange Rate Determination
97(20)
Chapter 5 Currency Derivatives
117(34)
PART II EXCHANGE RATE BEHAVIOR 151(90)
Chapter 6 Government Influence on Exchange Rates
153(36)
Chapter 7 International Arbitrage and Interest Rate Parity
189(24)
Chapter 8 Relationships between Inflation, Interest Rates, and Exchange Rates
213(28)
PART III EXCHANGE RATE RISK MANAGEMENT 241(120)
Chapter 9 Forecasting Exchange Rates
243(32)
Chapter 10 Measuring Exposure to Exchange Rate Fluctuations
275(30)
Chapter 11 Managing Transaction Exposure
305(36)
Chapter 12 Managing Economic Exposure and Translation Exposure
341(20)
PART IV LONG-TERM ASSET AND LIABILITY MANAGEMENT 361(160)
Chapter 13 Direct Foreign Investment
363(18)
Chapter 14 Multinational Capital Budgeting
381(36)
Chapter 15 Multinational Restructuring
417(24)
Chapter 16 Country Risk Analysis
441(30)
Chapter 17 Multinational Cost of Capital and Capital Structure
471(26)
Chapter 18 Long-Term Financing
497(24)
PART V SHORT-TERM ASSET AND LIABILITY MANAGEMENT 521(80)
Chapter 19 Financing International Trade
523(22)
Chapter 20 Short-Term Financing
545(24)
Chapter 21 International Cash Management
569(32)
Appendix A Answers to Self-Test Questions 601(14)
Appendix B Supplemental Cases 615(18)
Appendix C Fundamentals of Regression Analysis 633(8)
Appendix D Focus on an MNC 641(4)
Glossary 645(8)
Index 653