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International financial management / Jeff Madura.

By: Madura, Jeff.
Material type: TextTextPublisher: Cincinnati, Ohio : South-Western College Pub., c1998Edition: 5th ed.Description: xxvii, (various pagings) : ill. ; 27 cm.ISBN: 0538877871; 9780538877879.Subject(s): International finance | Foreign exchange | Asset-liability managementDDC classification: 658.15'99 Online resources: WorldCat details
Contents:
Table of contents Part 1 The international financial environment: multinational financial management - an overview; international flow of funds; international financial markets; exchange rate determination; currency futures and options. Part 2 Exchange rate behaviour: government influence on exchange rates; international arbitrage and interest rate parity. relationships between inflation, interest rates, and exchange rates. Part 3 Exchange rate risk management; forecasting exchange rates; measuring exposure to exchange rate fluctuations; managing transaction exposure; managing economic exposure and translation exposure. Part 4 Short-term asset and liability management: financing international trade; short-term financing; international cash management. Part 5 Long-term asset and liability management: direct foreign investment; multinational capital budgeting; multinational cost of capital and capital structure; country risk analysis; long-term financing; global strategic planning.
Summary: Summary: Blending international finance theory, with current applications, this book aims to provide up-to-date treatment of international finance issues along with traditional treatment of international Read more...
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Item type Current location Collection Call number Copy number Status Date due Barcode Item holds
Text Text EWU Library
Reserve Section
Non-fiction 658.15'99 MAI 1998 (Browse shelf) C-1 Not For Loan 7462
Text Text EWU Library
Reserve Section
Non-fiction 658.15'99 MAI 1998 (Browse shelf) C-2 Not For Loan 7463
Total holds: 0

Includes index.

Table of contents Part 1 The international financial environment: multinational financial management - an overview; international flow of funds; international financial markets; exchange rate determination; currency futures and options. Part 2 Exchange rate behaviour: government influence on exchange rates; international arbitrage and interest rate parity. relationships between inflation, interest rates, and exchange rates. Part 3 Exchange rate risk management; forecasting exchange rates; measuring exposure to exchange rate fluctuations; managing transaction exposure; managing economic exposure and translation exposure. Part 4 Short-term asset and liability management: financing international trade; short-term financing; international cash management. Part 5 Long-term asset and liability management: direct foreign investment; multinational capital budgeting; multinational cost of capital and capital structure; country risk analysis; long-term financing; global strategic planning.

Summary:
Blending international finance theory, with current applications, this book aims to provide up-to-date treatment of international finance issues along with traditional treatment of international Read more...

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