
International Financial Management
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-
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Product details:
- Edition number 5. Aufl.
- Publisher Cengage Learning EMEA
- Date of Publication 19 June 2020
- ISBN 9781473770508
- Binding Paperback
- No. of pages704 pages
- Size 260x195x23 mm
- Weight 1764 g
- Language English 0
Categories
Long description:
International finance has become one of the hottest topics in national debates with tariff wars and EU membership dominating the news. As multinational corporations (MNCs) continue to expand their operations globally, they must not only manage the advantages that ensue but also their exposure to risk.
The fifth edition of Madura and Fox's International Financial Management offers students a comprehensive introduction to this fast-moving field, discussing not only exchange rate behaviour, exchange rate risk management, long- and short-term asset and liability management, but also topics such as different currencies, dissimilar political situations, imperfect markets and diversified opportunity sets.
Engaging real-world examples, critical debate questions and project workshop activities equip students with the essential knowledge they need to succeed in international finance.
This textbook is suitable for both final year undergraduate and master's level courses in international financial management.
This title is available with MindTap, a flexible online learning solution that provides students with all the tools they need to succeed including an interactive eReader, engaging multimedia, practice questions, assessment materials, revision aids, and analytics to help you track their progress.
Table of Contents:
Part I The International Financial Environment
1Multinational financial management: an overview
2International flow of funds
3International financial markets
4Exchange rate changes
5Currency derivatives
Part II Exchange Rate Behaviour
6Exchange rate history and the role of governments
7International arbitrage and interest rate parity
8Relationships among inflation, interest rates and exchange rates
Part III Exchange Rate Risk Management
9Forecasting exchange rates
10Measuring exposure to exchange rate fluctuations
11Managing transaction exposure
12Managing economic exposure and translation exposure
Part IV Long
-term Asset and Liability Management
13Foreign direct investment
14Country risk analysis
15Long
-term financing
16Ethics
Part V Short
-term Asset and Liability Management
17Financing international trade
18Short
-term financing
19International cash management
20Concluding comments
Appendix A: Answers to self
-test questions
Appendix B: Maths and statistics support
Glossary
Index
Online Additional Reading
1Multinational Restructuring
2Multinational Cost of Capital and Capital Structure
3Multinational Capital Budgeting

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International Financial Management
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