Fundamentals of Multinational Finance 3/e (絕)
- 20本以上,享 8.5折
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$
洽詢
- 一般書籍
- ISBN:9780321552136
- 作者:Michael H. Moffett, Arthur I. Stonehill, David K. Eiteman
- 版次:3
- 年份:2008
- 出版商:Pearson Education
本書特色
目錄
作者介紹
Features
New to this Edition
- A student-friendly writing style works in concert with a tightly structured framework. Learning Objectives open each chapter to orient students, and a summary of how those learning objectives were demonstrated closes each chapter.
- Real-world examples illustrate the theory with accounts of actual business practices. These applications extend the concepts without adding to the length of the text itself.
- Twenty-three mini-cases animate the theory with real-world scenarios.
- Spreadsheet Analysis features illustrate the quantitative facet of analysis and model how to solve such problems.
- Internet Exercises and a variety of Internet resources throughout the text encourage online research of multinational finance issues.
- An increased number of end-of-chapter questions and problems helps assess students' understanding of the course material.
- A generous collection of full-color illustrations and exhibits provides a concise visual parallel to the concepts presented in the text.
- A complete supplements package-Instructor's Manual, Test Bank, PowerPoint® slides, student Study Guide, and text-specific Companion Website-complements the text.
New to this Edition
- Chapter-opening vignettes introduce the chapter's mini-case. The mini-case is then revisited at the end of the chapter so students see how chapter topics are applied to the initial vignette.
- Concept Checks are incorporated throughout the chapter to ensure that students understand the material before moving on to a new concept.
- Globalization and the reasons for globalization are now introduced in Chapter 1.
- New coverage includes topics such as private equity and the Chinese currency.
- Coverage in Chapter 5 is refocused on major currencies rather than on emerging markets and currency issues.
- A fresh, accessible design accurately reflects the clear, student-friendly writing style.
Table of Contents
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
Chapter 6: International Parity Conditions
Chapter 7: Foreign Exchange Rate Determination & Forecasting
Chapter 8: Foreign Currency Derivatives
Chapter 9: Transaction Exposure
Chapter 10: Operating Exposure
Chapter 11: Translation Exposure
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
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
Chapter 20: International Trade Finance
Chapter 21: Multinational Tax Management
Chapter 22: Working Capital Management
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
Chapter 6: International Parity Conditions
Chapter 7: Foreign Exchange Rate Determination & Forecasting
Chapter 8: Foreign Currency Derivatives
Chapter 9: Transaction Exposure
Chapter 10: Operating Exposure
Chapter 11: Translation Exposure
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
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
Chapter 20: International Trade Finance
Chapter 21: Multinational Tax Management
Chapter 22: Working Capital Management
Michael H. Moffett is an associate professor of finance at Thunderbird, the Garvin Graduate School of International Management. He received a BA in economics from the University of Texas at Austin, an MS in resource economics from Colorado State University, and an MA and a PhD in economics from the University of Colorado, Boulder.