Book description
Multinational Financial Management, 10th Edition provides corporate managers with a conceptual framework within which the key financial decisions of the multinational firm can be analyzed. It contains charts and illustrations of corporate practice that are designed to highlight specific techniques. Numerous real-world examples and vignettes provide actual applications of financial concepts and theories. Seven longer illustrations of actual company practices appear at the end of key chapters to demonstrate different aspects of international financial management. Corporate managers will also benefit from the mini cases in each chapter that illustrate important concepts.
Table of contents
- Cover Page
- Title Page
- Copyright
- Contents
- PREFACE
- SELECTED CURRENCIES AND SYMBOLS
- SYMBOL AND ACRONYMS
-
PART I: ENVIRONMENT OF INTERNATIONAL FINANCIAL MANAGEMENT
- Chapter 1: Introduction: Multinational Enterprise and Multinational Financial Management
- Chapter 2: The Determination of Exchange Rates
- Chapter 3: The International Monetary System
- Chapter 4: Parity Conditions in International Finance and Currency Forecasting
- Chapter 5: The Balance of Payments and International Economic Linkages
- Chapter 6: Country Risk Analysis
- PART II: FOREIGN EXCHANGE AND DERIVATIVES MARKETS
- PART III: FOREIGN EXCHANGE RISK MANAGEMENT
- PART IV: FINANCING THE MULTINATIONAL CORPORATION
- PART V: FOREIGN INVESTMENT ANALYSIS
- PART VI: MULTINATIONAL WORKING CAPITAL MANAGEMENT
- GLOSSARY
- INDEX
Product information
- Title: Multinational Financial Management
- Author(s):
- Release date: November 2013
- Publisher(s): Wiley
- ISBN: 9781118572382
You might also like
book
L'essentiel des marchés financiers
Présentation Les années 2008-2009 ont montré le rôle crucial des marchés financiers dans la diffusion des …
book
Management of Banking and Financial Services, 4e
Management of Banking and Financial Services 4/e, provides a thorough landscape of the banking and financial …
book
Nonparametric Finance
An Introduction to Machine Learning in Finance, With Mathematical Background, Data Visualization, and R Nonparametric function …
book
The Risk Controllers: Central Counterparty Clearing in Globalised Financial Markets
Clearing houses, or CCPs, were among the very few organisations to emerge from the global financial …