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Contents
PART I: GLOBAL FINANCIAL ENVIRONMENT
1. Multinational Financial Management: Opportunities and Challenges
2. The International Monetary System
3. The Balance of Payments
4. Financial Goals and Corporate Governance
PART II: FOREIGN EXCHANGE THEORY & MARKETS
5. The Foreign Exchange Market
6. International Parity Conditions
Appendix: An Algebraic Primer to International Parity Conditions
7. Foreign Currency Derivatives: Futures and Options
Appendix: Foreign Currency Options Pricing Theory
8. Interest Rate Risk and Swaps
9. Foreign Exchange Rate Determination and Intervention
PART III: FOREIGN EXCHANGE EXPOSURE
10. Transaction Exposure
Appendix: Complex Option Hedges
11. Translation Exposure
Mini case: Electrolux of Sweden Currency Management New #2
12. Operating Exposure
Mini-Case: Rolls Royce & Brexit New #2
PART IV: FINANCING THE GLOBAL FIRM
13. The Global Cost and Availability of Capital
14. Funding the Multinational Firm
15. Multinational Tax Management
16. International Trade Finance
PART V: FOREIGN INVESTMENTS & INVESTMENT ANALYSIS
17. Foreign Direct Investment & Political Risk
18. Multinational Capital Budgeting & Cross-Border Acquisitions
Answers to selected end-of-chapter problems
Glossary
Index