Multinational Financial Management provides a comprehensive and up-to-date survey of all essential areas of the international financial market environment, including the determination of the cost of capital for international projects, capital budgeting, financial structure, transfer pricing, risk management, and portfolio investment. Written with the large multinational corporation in mind, this leading textbook offers a wealth of numerical and institutional examples that demonstrate the use of financial analysis and reasoning to solve complex international financial problems.
Multinational Financial Management is a self-encompassing treatment of multinational financial management that simplifies complex concepts, provides the theoretical knowledge required to examine decision problems, and supplies the practical analytical techniques needed to clarify the ambiguous guidelines commonly used by international financial executives. Throughout the text, the authors show how the international dimension of finance creates difficulties that are not encountered in domestic finance, such as multiple currencies, segmented capital markets, political risks, and international taxation issues.
Multinational Financial Management, Twelfth Edition, remains the ideal textbook for upper-level undergraduate and master's degree courses in International Finance and International Financial Management, as well as bank management, financial management, and other executive development programs.
頁數:672
版次:第12版
年份:2024年
規格:平裝/單色
ISBN:9781394187836
PART I The International Financial Management Environment
1 Introduction: Multinational Corporations and Financial Management
2 The Determination of Exchange Rates
3 The International Monetary System
4 Parity Conditions in International Finance and Currency Forecasting
5 The Balance of Payments and International Economic Linkages
PART II The Foreign Exchange and Derivative Markets
6 The Foreign Exchange Market
7 Currency Futures and Options Markets
8 Currency, Interest rate, and Credit Derivatives and Swaps
PART III Foreign Exchange Risk Management
9 Measuring and Managing Translation and Transaction Exposure
10 Measuring and Managing Economic Exposure
PART IV The International Capital Markets and Portfolio Management
11 International Financing and National Capital Markets
12 The Euromarkets
13 International Portfolio Management
PART V International Capital Budgeting
14 Country Risk Analysis
15 The Cost of Capital for Foreign Investments
16 Corporate Strategy and Foreign Direct Investment
17 Capital Budgeting for the Multinational Corporation
18 Managing the Internal Capital Markets of Multinational Corporations