Geert Bekaert, Columbia Business School, Robert Hodrick, Columbia Business School.
EDITION STATEMENT
Edition Statement
Third edition.
.PUBLICATION, DISTRIBUTION, ETC
Place of Publication, Distribution, etc.
New York, NY, USA :
Name of Publisher, Distributor, etc.
Cambridge University Press,
Date of Publication, Distribution, etc.
2018.
PHYSICAL DESCRIPTION
Specific Material Designation and Extent of Item
x, 1036 pages :
Other Physical Details
illustrations ;
Dimensions
27 cm
GENERAL NOTES
Text of Note
Earlier edition: 2012.
INTERNAL BIBLIOGRAPHIES/INDEXES NOTE
Text of Note
Includes bibliographical references and index.
CONTENTS NOTE
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Machine generated contents note: 1.Globalization and the Multinational Corporation -- pt. I Introduction to Foreign Exchange Markets and Risks -- 2.The Foreign Exchange Market -- Appendix 2.1 Logarithms -- 3.Forward Markets and Transaction Exchange Risk -- Appendix 3.1 A Statistics Refresher -- 4.The Balance of Payments -- Appendix 4.1 A Primer on National Income and Product Accounts -- 5.Exchange Rate Systems -- pt. II International Parity Conditions and Exchange Rate Determination -- 6.Interest Rate Parity -- 7.Speculation and Risk in the Foreign Exchange Market -- Appendix 7.1 The Siegel Paradox -- Appendix 7.2 The Portfolio Diversification Argument and the CAPM -- Appendix 7.3 A Regression Refresher -- 8.Purchasing Power Parity and Real Exchange Rates -- 9.Measuring and Managing Real Exchange Risk -- 10.Exchange Rate Determination and Forecasting -- pt. III International Capital Markets -- 11.International Debt Financing -- 12.International Equity Financing
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Note continued: 13.International Capital Market Equilibrium -- Appendix 13.1 The Mathematics of International Diversification -- 14.Country and Political Risk -- pt. IV International Corporate Finance -- 15.International Capital Budgeting -- Appendix 15.1 Deriving the Value of a Perpetuity -- 16.Additional Topics in International Capital Budgeting -- 17.Risk Management and the Foreign Currency Hedging Decision -- pt. V Managing Ongoing Operations -- 18.Financing International Trade -- 19.Managing Net Working Capital -- pt. VI Foreign Currency Derivatives -- 20.Foreign Currency Futures and Options -- Appendix 20.1 Foreign Currency Option Pricing (Advanced) -- 21.Interest Rate and Foreign Currency Swaps.
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SUMMARY OR ABSTRACT
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This new and fully updated edition of International Financial Management blends theory, data analysis, examples and practical case situations to equip students and business leaders with the analytical tools they need to make informed financial decisions and manage the risks that businesses face in today's competitive global environment. Combining theory and practice, the authors offer the reader a multitude of real-world examples and case studies, emphasising fundamental concepts, principles and analytical theories to enable students to understand not only what to do when confronted with an international financial decision, but why that choice is the correct one. Features include: real data analysis - all fully updated for the third edition; extended cases illustrating practical application of theory; point-counterpoints offering insight into contentious issues; concept boxes that explore and illustrate key concepts; and end-of-chapter questions. Suitable for M.B.A and advanced undergraduate business students taking a course in international financial management or international finance. --