International Financial Management / Edition 5

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Overview

The overriding objective of the text is to teach students how to be effective global financial managers. The text covers the fundamentals of the macroeconomic environment of international financial management,discusses the financial environment in which the multinational firm and its managers must function,and covers foreign exchange management and financial management in a multinational firm.
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Product Details

  • ISBN-13: 9780073382340
  • Publisher: McGraw-Hill Companies, The
  • Publication date: 9/23/2008
  • Edition description: Older Edition
  • Edition number: 5
  • Pages: 560
  • Product dimensions: 8.70 (w) x 10.90 (h) x 1.10 (d)

Meet the Author

Cheol S. Eun (Ph.D., NYU, 1981) is a professor of finance and currently holds the Thomas R. Williams Chair in International Finance at Georgia Institute of Technology. Before joining Georgia Tech, he taught at Kent State University, University of Minnesota, and the University of Maryland, and at the Wharton School of the University of Pennsylvania. He has published extensively on international finance issues in such major journals as the Journal of Finance, JFQA, Journal of Banking and Finance, Journal of Portfolio Management, Management Science, and Oxford Economic Papers. Currently he is an associate editor of the Journal of Banking and Finance, Global Finance Journal, European Financial Management. Professor Eun has taught a variety of courses at the undergraduate, graduate, and executive levels and was the winner of the Krowe Teaching Excellence Award at the University of Maryland and has served as a consultant to many national and international organizations.

Bruce G. Resnick (D.B.A. Indiana, 1979) is a professor of management at the Babcock Graduate School of Management of Wake Forest University. Prior to coming to the Babcock School, he taught at Indiana University for ten years, the University of Minnesota for five years, and California State University for two years. Professor Resnick has also taught as a visiting professor at Bond University, Gold Coast, Queensland, Australia, and at the Helsinki School of Economics and Business Administration. Like Professor Eun, he has had research articles published in the most prestigious academic journals, and he has served as a consultant to a number of nonprofit and for-profit organizations in the selection of investment managers for organizational funds

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Table of Contents

Part One: Foundations of International Financial ManagementChapter 1: Globalization and the Multinational FirmChapter 2: International Monetary SystemChapter 3: Balance of PaymentsChapter 4: Corporate Governance Around the World Part Two: The Foreign Exchange Market, Exchange Rate Determination, and Currency DerivativesChapter 5: The Market for Foreign ExchangeChapter 6: International Parity Relationships and Forecasting Foreign Exchange RatesChapter 7: Futures and Options on Foreign Exchange Part Three: Foreign Exchange Exposure and ManagementChapter 8: Management of Transaction ExposureChapter 9: Management of Economic ExposureChapter 10: Management of Translation Exposure Part Four: World Financial Markets and InstitutionsChapter 11: International Banking and Money MarketChapter 12: International Bond MarketChapter 13: International Equity MarketsChapter 14: Interest Rate and Currency SwapsChapter 15: International Portfolio Investment Part Five: Financial Management of the Multinational FirmChapter 16: Foreign Direct Investment and Cross-Border AcquisitionsChapter 17: International Capital Structure and the Cost of CapitalChapter 18: International Capital BudgetingChapter 19: Multinational Cash ManagementChapter 20: International Trade FinanceChapter 21: International Tax Environment and Transfer Pricing

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