Pub. Date:
West Group
International Financial Management / Edition 3

International Financial Management / Edition 3

by Jeff Madura, Craig, Fenton


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International Financial Management / Edition 3

INTERNATIONAL FINANCIAL MANAGEMENT, 6e combines a strong foundation in international finance theory with current, practical applications. It provides thorough, up-to-date treatment of cutting-edge international finance issues along with traditional treatment of international financial management. This book is known for its readability and clear explanation as well as its extensive use of hands-on, real world applications and student-oriented pedagogy.

Product Details

ISBN-13: 9780314862723
Publisher: West Group
Publication date: 08/28/1991
Series: SWC-Finance
Edition description: REV
Pages: 728
Product dimensions: 6.00(w) x 1.25(h) x 9.00(d)

About the Author

Jeff Madura is Emeritus Professor of Finance at Florida Atlantic University. The recipient of multiple awards for excellence in teaching and research, Dr Madura has written several successful finance textbooks. His research on financial markets and institutions has been published in numerous journals, including Journal of Financial and Quantitative Analysis; Journal of Money, Credit and Banking; Financial Management; Journal of Financial Research; and Financial Review. Dr Madura has served as a consultant for international banks, securities firms and other multinational corporations. In addition, he is a former director of the Eastern Finance Association and a former director and president of the Southern Finance Association. He earned his BS and MA from Northern Illinois University and his DBA from Florida State University.

Table of Contents

PART 1: THE INTERNATIONAL FINANCIAL ENVIRONMENT. 1. Multinational Financial Management: An Overview. 2. International Flow of Funds. 3. International Financial Markets. 4. Exchange Rate Determination. 5. Currency Derivatives. PART 2 EXCHANGE RATE BEHAVIOR. 6. Government Influence on Exchange Rates. 7. International Arbitrage and Interest Rate Parity. 8. Relationships between Inflation, Interest Rates, and Exchange Rates. PART 3: EXCHANGE RATE RISK MANAGEMENT. 9. Forecasting Exchange Rates. 10. Measuring Exposure to Exchange Rate Fluctuations. 11. Managing Transaction Exposure. 12. Managing Economic Exposure and Translation Exposure. PART 4: LONG-TERM ASSET AND LIABILITY MANAGEMENT. 13. Direct Foreign Investment. 14 .Multinational Capital Budgeting. 15. Multinational Restructuring. 16. Country Risk Analysis. 17. Multinational Cost of Capital and Capital Structure. 18 Long-Term Financing. PART 5: SHORT-TERM ASSET AND LIABILITY MANAGEMENT. 19 Financing International Trade. 20. Short-Term Financing. 21. International Cash Management.

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