International Financial Management.
2023
630
131.37-MADUR
GESTION FINANCIERE INTERNATIONALE ; FINANCE DE MARCHE ; MANAGEMENT DU RISQUE ; GESTION ACTIF PASSIF
N° | Cote | Code barre | Commentaire | |
---|---|---|---|---|
1 | [non empruntable] |
Commentaire :
ISBN 13 : 978-1-4737-8721-6
Sommaire :
Part 1. The international financial environment
1. Multinational financial management: an overview
2. International trade, measurement and theories
3. International financial markets and portfolio investment
4. Ethics
Part II. Exchange rate behaviour
5. Exchange rate changes
6. Exchange rate history and the role of governments
7. Forecasting exchange rates
8. International arbitrage and covered interest rate parity
9. Relationships between inflation, interest rates and exchange rates
Part III. Exchange rate risk management
10. Measuring exposure to exchange rate fluctuations
11. Market insurance: currency derivatives
12. Non-market methods of transaction management
13. Economic and translation exposure management
Part IV. Long-term asset and liability management
14. Foreign direct investment
15. Country risk analysis
16. Long-term financing
Part V. Short-term asset and liability management
17. Financing international trade
18. Short-term financing
19. International cash management
20. Concluding comments
Appendix A: Answers to self-test questions
Appendix B: Maths and statistics support
Nbre volumes : 0
Langue : Anglais
Edition : 6ème
Illustration(s) : Schémas ; Tableau(x)
Localisation : Bibliothèque Campus de Nice
Support : Papier
Etat : Présent
Propriétaire : Bibliothèque