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Description
International Money and Finance, Ninth Edition presents an institutional and historical overview of international finance and international money, illustrating how key economic concepts can illuminate real world problems.
With three substantially revised chapters, and all chapters updated, it functions as a finance book that includes an international macroeconomics perspective in its final section. It emphasizes the newest trends in research, neatly defining the intersection of macro and finance.
Successfully used worldwide in both finance and economics departments at both undergraduate and graduate levels, the book features current data, revised test banks, and sharp insights about the practical implications of decision-making.
- Includes current events, such as the LIBOR and Greek crises
- increases emphasis on countries other than the US
- Minimizes prerequisites to encourage use by students from varied backgrounds
Table of Contents
Part I: The International Monetary Environment1. The Foreign Exchange Market2. International Monetary Arrangements3. The Balance of Payments
Part II: International Parity Conditions4. Forward-Looking Market Instruments5. Eurocurrency Markets and the LIBOR6. Exchange Rates, Interest Rates, and Interest Parity7. Prices, Exchange Rates, and Purchasing Power Parity
Part III: Risk and International Capital Flows8. Foreign Exchange Risk and Forecasting9. Financial Management of the Multinational Firm10. International Investment11. International Lending and Crises
Part IV: Modeling the Exchange Rate and Balance of Payments12. Determinants of the Balance of Trade13. The IS-LM-BP Approach14. The Monetary Approach15. Extensions and Challenges to the Monetary Approach