Combining academic theory with practical case studies, this book helps students understand global financial markets and business management.
The book focuses on management decisions that maximize a firm's value. Readers examine some of the latest developments in international finance with the text's timely examples and extensive links to related Internet content.
This Second Edition of the book explains, with precision and clarity, the basic concepts, theories and practices of international financial management.
Part: I 1.
... International Financial Management blends the core concepts and theories of international finance with practical ... Indian Perspective : Coverage of economic and financial policies and practices in Indiaincluding India's foreign ...
should not be taken to imply that only " speculators ” in the derogatory sense ) dominate the market . ... Walter C. Labys and Clive W.J. Granger , Speculation , Hedging and Commodity Price Forecasts ( Lexington , Mass .
The spot rate of the yuan is A$0.19, and Foster's Group thinks this exchange rate is the best forecast of the future. However, there are two forms of country risk. First, there is a 30 per cent chance that the Chinese Government will ...
Globalization and the multinational firm - International monetary system - Balance of payments - The market for foreign exchange - International parity relationships and forecasting foreign exchange rates - International...
Focusing on the international financial environment, the authors survey the balance of payments analysis, international monetary agreements, the international banking activities of both public and private agencies, the mechanics of...
International Financial Management
This book is known for its readability and clear explanation as well as its extensive use of hands-on, real-world applications and student-oriented pedagogy. This text has the same chapters as the full edition.