International Financial Management
(Sprache: Englisch)
Combining academic theory with practical case studies, this book helps students understand global financial markets and business management.
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Produktinformationen zu „International Financial Management “
Combining academic theory with practical case studies, this book helps students understand global financial markets and business management.
Klappentext zu „International Financial Management “
Combining academic theory with practical case studies, this book helps students understand global financial markets and business management.
Inhaltsverzeichnis zu „International Financial Management “
Preface; 1. Globalization and the multinational corporation; Part I. Introduction to Foreign Exchange Markets and Risks: 2. The foreign exchange market; 3. Forward markets and transaction exchange risk; 4. The balance of payments; 5. Exchange rate systems; Part II. International Parity Conditions and Exchange Rate Determination: 6. Interest rate parity; 7. Speculation and risk in the foreign exchange market; 8. Purchasing power parity and real exchange rates; 9. Measuring and managing real exchange risk; 10. Exchange rate determination and forecasting; Part III. International Capital Markets: 11. International debt financing; 12. International equity financing; 13. International capital market equilibrium; 14. Country and political risk; Part IV. International Corporate Finance: 15. International capital budgeting; 16. Additional topics in international capital budgeting; 17. Risk management and the foreign currency hedging decision; Part V. Managing Ongoing Operations: 18. Financing international trade; 19. Managing net working capital; Part VI. Foreign Currency Derivatives: 20. Foreign currency futures and options; 21. Interest rate and foreign currency swaps; Glossary; Index.
Autoren-Porträt von Geert Bekaert, Robert Hodrick
Geert Bekaert teaches global investments and asset management at Columbia Business School. His research focuses on international finance, emerging markets, empirical asset pricing, and portfolio management, and has been supported by NSF grants. He has published over sixty articles in top academic journals such as the Journal of Finance, the Journal of Political Economy, the Journal of Financial Economics and the Review of Financial Studies, among others. He is Co-Managing Editor at the Journal of Banking and Finance, is a Research Associate at the National Bureau of Economic Research, consults for the European Central Bank and litigation support firms, and is associated with several FinTech ventures.
Bibliographische Angaben
- Autoren: Geert Bekaert , Robert Hodrick
- 2018, 3rd edition, 1046 Seiten, Maße: 20,8 x 25,5 cm, Gebunden, Englisch
- Verlag: Cambridge University Press
- ISBN-10: 110711182X
- ISBN-13: 9781107111820
- Erscheinungsdatum: 23.07.2018
Sprache:
Englisch
Pressezitat
'This book covers the economics behind exchange rate movements and also provides well-thought-out examples of how to mitigate the risk of such movements. It is rigorous enough to challenge quantitative M.B.A.s yet also builds from core fundamentals such that first-time students of international finance can grasp the material. I have used this book for years in M.B.A. and Executive M.B.A. courses.' Karl V. Lins, Spencer Fox Eccles Endowed Chair in Banking and Professor of Finance, David Eccles School of Business, University of Utah
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