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International financial management / Jeff Madura.

By: Madura, Jeff.
Boston, Massachusetts, USA : Cengage Learning, ©2018Edition: 13th edition, student edition.Description: xxvi, 710 pages : colour illustrations ; 26 cm.Content type: text ISBN: 9781337099738.Subject(s): International finance | Foreign exchange | Asset-liability management | Banks and banking, International | International business enterprises -- FinanceDDC classification: 332.042/M26 Other classification: CBA
Contents:
Part I: THE INTERNATIONAL FINANCIAL ENVIRONMENT.1. Multinational Financial Management: An Overview.2. International Flow of Funds.3. International Financial Markets.4. Exchange Rate Determination.5. Currency Derivatives.Part II: EXCHANGE RATE BEHAVIOR.6. Government Influence on Exchange Rates.7. International Arbitrage and Interest Rate Parity.8. Relationships among Inflation, Interest Rates, and Exchange Rates.Part III: EXCHANGE RATE RISK MANAGEMENT.9. Forecasting Exchange Rates.10. Measuring Exposure to Exchange Rate Fluctuations.11. Managing Transaction Exposure.12. Managing Economic Exposure and Translation Exposure.Part IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT.13. Direct Foreign Investment.14. Multinational Capital Budgeting.15. International Corporate Governance and Control.16. Country Risk Analysis.17. Multinational Capital Structure and Cost of Capital.18. Long-Term Debt Financing.Part V: SHORT-TERM ASSET AND LIABILITY MANAGEMENT.19. Financing International Trade.20. Short-Term Financing.21. International Cash Management.
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General Reference Section
CBA 332.042/M26 (Browse shelf) Available 82677

Includes index.

Part I: THE INTERNATIONAL FINANCIAL ENVIRONMENT.1. Multinational Financial Management: An Overview.2. International Flow of Funds.3. International Financial Markets.4. Exchange Rate Determination.5. Currency Derivatives.Part II: EXCHANGE RATE BEHAVIOR.6. Government Influence on Exchange Rates.7. International Arbitrage and Interest Rate Parity.8. Relationships among Inflation, Interest Rates, and Exchange Rates.Part III: EXCHANGE RATE RISK MANAGEMENT.9. Forecasting Exchange Rates.10. Measuring Exposure to Exchange Rate Fluctuations.11. Managing Transaction Exposure.12. Managing Economic Exposure and Translation Exposure.Part IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT.13. Direct Foreign Investment.14. Multinational Capital Budgeting.15. International Corporate Governance and Control.16. Country Risk Analysis.17. Multinational Capital Structure and Cost of Capital.18. Long-Term Debt Financing.Part V: SHORT-TERM ASSET AND LIABILITY MANAGEMENT.19. Financing International Trade.20. Short-Term Financing.21. International Cash Management.

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