Part I: Global Financial Environment -- Chapter 1: Globalization and the Multinational Enterprise -- Chapter 2: Financial Goals and Corporate Governance -- Chapter 3: The International Monetary System -- Chapter 4: The Balance of Payments -- Chapter 5: The Foreign Exchange Market -- Part II: Foreign Exchange Theory -- Chapter 6: International Parity Conditions -- Chapter 7: Foreign Exchange Rate Determination & Forecasting -- Chapter 8: Foreign Currency Derivatives -- Part III: Foreign Exchange Exposure -- Chapter 9: Transaction Exposure -- Chapter 10: Operating Exposure -- Chapter 11: Translation Exposure -- Part IV: Financing the Global Firm -- Chapter 12: Global Cost and Availability of Capital -- Chapter 13: Sourcing Equity Capital Globally -- Chapter 14: Financial Structure and International Debt -- Chapter 15: Interest Rate and Currency Swaps -- Part V: International Investment Decisions -- Chapter 16: International Portfolio Theory and Diversification -- Chapter 17: Foreign Direct Investment Theory and Strategy -- Chapter 18: Political Risk Assessment and Management -- Chapter 19: Multinational Capital Budgeting -- Part VI: Managing Multinational Operations -- Chapter 20: International Trade Finance -- Chapter 21: Multinational Tax Management -- Chapter 22: Working Capital Management.
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By grounding concepts with case studies and real-world examples, this text familiarises finance and international business students with the fundamental concepts and tools necessary to implement an effective global financial management strategy.