Madura/Zipfel’s INTERNATIONAL FINANCIAL MANAGEMENT, 15th Edition, builds on the principles of corporate finance, providing timely information and an understanding of managerial topics in a global environment. Real-world examples and explanations help you understand the importance of multinational corporations in global commerce. New content explores the impact of FinTech on global finance, hands-on skills and techniques to mitigate financial risks and step-by-step Excel financial models. The updated Blades case at the end of each chapter helps you apply your learning to real-world scenarios that you can follow along with throughout the book. Step-by-step Excel problems are a key change in this edition. Examples, self-tests and hands-on exercises work with MindTap online algorithmic practice problems to help you understand “the why” along with the “what” and “how.”
目 錄
PART I: THE INTERNATIONAL FINANCIAL ENVIRONMENT
Ch 1 Multinational Financial Management: An Overview
Ch 2 International Flow of Funds
Ch 3 International Financial Markets
Ch 4 Exchange Rate Determination
Ch 5 Currency Derivatives
PART II: EXCHANGE RATE BEHAVIOR
Ch 6 Government Influence on Exchange Rates
Ch 7 International Arbitrage and Interest Rate Parity
Ch 8 Relationships among Inflation, Interest Rates, and Exchange Rates
PART III: EXCHANGE RATE RISK MANAGEMENT
Ch 9 Forecasting Exchange Rates
Ch10 Measuring Exposure to Exchange Rate Fluctuations
Ch11 Managing Transaction Exposure
Ch12 Managing Economic Exposure and Translation Exposure
PART IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT
Ch13 Direct Foreign Investment
Ch14 Multinational Capital Budgeting
Ch15 Corporate Governance: International Acquisitions and Divestitures
Ch16 Country Risk Analysis
Ch17 Multinational Capital Structure and Cost of Capital