The theory and practice of international financial management

By: Click, Reid WContributor(s): Coval, JoshuaMaterial type: TextTextSeries: Prentice Hall finance seriesPublication details: New Delhi Prentice-Hall of India c2002Description: xxii, 438 pages : illustrationsISBN: 9780130204578; 0130204579 ; 9788120321496 ; 8120321499Subject(s): International financeDDC classification: 332.042
Contents:
pt. I. International Macroeconomic Concepts. Ch. 1. International Capital Flows. Ch. 2. International Parity Propositions -- pt. II. Going Global: Undertaking Foreign Investment Projects. Ch. 3. International Capital Budgeting. Ch. 4. Financing International Projects. Ch. 5. Foreign Investment Strategy -- pt. III. Managing Foreign Exchange Risk. Ch. 6. Translation and Transaction Exposure. Ch. 7. Economic Exposure. Ch. 8. The Risk of Foreign Exchange Exposure. Ch. 9. Hedging with Financial Instruments. Ch. 10. Risk Management Strategy -- pt. IV. Managing International Taxation and Political Risk. Ch. 11. International Taxation. Ch. 12. Political Risk.
Summary: Intended for MBA courses in International Corporate Finance, International Business Finance, and Multinational Financial Management, this book focuses upon the basic principles which together make a "toolkit" for analysis of issues in international finance. It also captures the importance and excitement of international financial management
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Reference 332.042 CLI (Browse shelf(Opens below)) Available 008463
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Original edition published by Prentice Hall, Upper Saddle River, N.J. : ISBN is 0130204579

pt. I. International Macroeconomic Concepts. Ch. 1. International Capital Flows. Ch. 2. International Parity Propositions --
pt. II. Going Global: Undertaking Foreign Investment Projects. Ch. 3. International Capital Budgeting. Ch. 4. Financing International Projects. Ch. 5. Foreign Investment Strategy --
pt. III. Managing Foreign Exchange Risk. Ch. 6. Translation and Transaction Exposure. Ch. 7. Economic Exposure. Ch. 8. The Risk of Foreign Exchange Exposure. Ch. 9. Hedging with Financial Instruments. Ch. 10. Risk Management Strategy --
pt. IV. Managing International Taxation and Political Risk. Ch. 11. International Taxation. Ch. 12. Political Risk.

Intended for MBA courses in International Corporate Finance, International Business Finance, and Multinational Financial Management, this book focuses upon the basic principles which together make a "toolkit" for analysis of issues in international finance. It also captures the importance and excitement of international financial management

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