
Multinational finance
Adrian Buckley - Collection Financial Times
Résumé
Multinational Finance is an authoritative and comprehensive description of the theory and practice of international finance and its management. This fifth edition builds on the strengths of previous editions, offering a user-friendly guide to the subject that moves through the basics to the advanced with clarity and conciseness. The content has been thoroughly revised to incorporate the most up to date information in terms of markets, coverage of new financial instruments, and the latest empirical work (in particular in relation to discount rates and required rates of return). A key feature of this edition is its strong European orientation, a theme that runs throughout the book and makes Multinational Finance unique in its field.
Multinational Finance is recommended for undergraduate, MBA and other postgraduate courses in international financial management taken as a part of a degree programme in finance or international business. The book also caters for professionals in the financial field.
L'auteur - Adrian Buckley
Sommaire
- Preface and acknowledgements
- Essential background
- Introduction
- The international monetary system
- Corporate finance around the world
- Foreign exchange
- Exchange rates: the basic equations
- Foreign exchange markets
- The balance of payments
- Theories and empiricism on exchange rate movements
- Definitions of foreign exchange risk
- Financial accounting and foreign exchange
- Test bank 1
- Exercises
- Multiple choice questions
- Hedging
- Does foreign exchange exposure matter?
- Principles of exposure management
- Internal techniques of exposure management
- External techniques of exposure management
- Test bank 2
- Exercises
- Multiple choice questions
- Derivatives
- Swaps
- Financial futures and foreign exchange
- Options
- Currency options
- Interest rate risk
- Financial engineering
- Test bank 3
- Exercises
- Multiple choice questions
- International capital budgeting
- The internationalization process
- Exchange controls and corporate tax in international investment
- The international capital budgeting framework
- The international capital budgeting model
- International investment: what discount rate?
- Country risk analysis and political risk
- International capital budgeting: the practicalities
- Test bank 4
- Exercises
- Multiple choice questions
- International financing
- International debt instruments
- Financing the multinational and its overseas subsidiaries
- Cash management
- Project finance
- Financing international trade and minimizing credit risk
- Miscellaneous
- Miscellaneous issues in multinational finance
- TEST BANK 5
- Exercises
- Multiple choice questions
- Suggested answers to selected exercises
- Suggested answers to end of chapter questions
- Solutions to multiple choice questions
- A - Present value of $1
- B - Present value of $1 received annually for n years
- C - Table of areas under the normal curve
- D - Black and Scholes value of call option expressed as a percentage of the share price
- E - Present value of $1 with a continuous discount rate, r , for T periods.
- Values of e-rt
- F - SWIFT codes
- Glossary
- References
- Index
Caractéristiques techniques
PAPIER | |
Éditeur(s) | Prentice Hall |
Auteur(s) | Adrian Buckley |
Collection | Financial Times |
Parution | 15/12/2003 |
Édition | 5eme édition |
Nb. de pages | 808 |
Format | 19 x 24,5 |
Couverture | Broché |
Poids | 1330g |
Intérieur | Noir et Blanc |
EAN13 | 9780273682097 |
ISBN13 | 978-0-273-68209-7 |
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