Global corporate finance : text and cases
著者
書誌事項
Global corporate finance : text and cases
Blackwell Publishers, 1999
4th ed
- : pbk
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注記
Includes bibliographical references and index
内容説明・目次
- 巻冊次
-
ISBN 9780631210917
内容説明
This revised and updated edition introduces students and practitioners to those principles essential to an understanding of global financial problems and the policies multinational companies use to contend with them. The book is designed to serve as the main text for international finance courses in business schools or economics departments, as well as for courses in international financial markets, international banking and international investments. Using actual data, the authors present a balanced view of both theory and applications. Topics include the balance of payments, international monetary system, financial derivatives (the foreign exchange market), financing both foreign trade and foreign investment, global asset management and multinational accounting. In addition, the authors highlight contemporary issues, important research findings, and new financial instruments and techniques.
Several elements of the text are new to the fourth edition, including the following: each of the first 19 chapters has a mini-case at the end, all of which are undisguised real cases; three cases focus on December 1994's Mexican peso crisis and 1997's Asian currency crisis; and a new chapter covers exchange rate forecasting.
目次
Part I: The Global Financial Environment: 1. Introduction: Reasons to Study International Finance. Company Goals and Functions of Financial Management. Multinational Companies and Their Performance. Principles of Global Finance. Agency Theory and Environmental Differences. Organization of the Book. Summary. Key Terms and Concepts. Questions. References. Case Problem 1: What Is a US Company? 2. Motives for World Trade and Foreign Investment: Motives for Foreign Trade. Economic Integration. Motives for Foreign Investment. A Synthesis of Foreign Trade and Investment Theories. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 2: LG's Acquisition of Zenith. 3. The Balance of Payments: Double-Entry Accounting. Balance-of-Payments Accounts. The Actual Balance of Payments. Trade Friction Between the US and Japan. How to Restore International Equilibrium. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 3: Managed Trade: The Only Way to Reduce the US-Japan Trade Imbalance? 4. The International Monetary System: A Successful Foreign Exchange System. Brief History of International Monetary System. The International Monetary Fund. The European Monetary Union. Proposals for Further International Monetary Reform. Summary. Key Terms and Concepts. Questions. References. Case Problem 4: Mexican Peso Crisis in December 1994. Part II: Foreign Exchange Risk Management: 5. An Overview of the Foreign Exchange Market: Dimensions of the Foreign Exchange market. Major Participants in the Exchange Market. Spot Exchange Quotation: Spot Exchange Rate. Forward Exchange Quotation: Forward Exchange Rates. Theories of Foreign Exchange-Rate Determination. Arbitrages. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 5: Big Mac PPP. 6. Currency Futures and Options: The Currency Futures Market. The Currency Options Market. Futures Options. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 6: Merck's Use of Currency Options. 7. Financial Swaps: The Emergence of the Swap Market. Plain Vanilla Swaps. Motivations for Swaps. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 7: Regulations of Derivative Markets. 8. Exchange Rate Forecasting: Measuring Exchange Rate Changes. Forecasting Needs of the Multinational Company. Forecasting Floating Exchange Rates. Forecasting Fixed Exchange Rates. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 8: GM Operations in Mexico and the Peso Crisis. 9. Foreign Exchange Risk Management: Foreign Exchange Exposures. Translation Exposure Management. Transaction Exposure Management. Economic Exposure Management. Summary. Key Terms and Concepts. Problems. References. Case Problem 9: Olivetti's Economic Exposure Management. Part III: Financing International Transactions. 10. International Financial Markets: Eurocurrency Markets. The Asian Currency Market. ... (Part Contents).
- 巻冊次
-
: pbk ISBN 9780631210924
内容説明
Introduces students and practitioners to those principles essential to an understanding of global financial problems and the policies multinational companies use to contend with them. The book is designed to serve as the main text for international finance courses in business schools or economics departments as well as for courses in international financial markets, international banking and international investments. Using actual data, the authors present a balanced view of both theory and applications. Topics include the balance of payments, international monetary system, financial derivatives (the foreign exchange market), financing both foreign trade and foreign investment, global asset management and multinational accounting. In addition, the authors highlight contemporary issues, important research findings, and new financial instruments and techniques. Several elements of the text are new to the fourth edition, including the following: each of the first 19 chapters has a mini-case at the end, all of which are undisguised real cases; three cases focus on December 1994's Mexican peso crisis and 1997's Asian currency crisis; and a new chapter covers exchange rate forecasting.
目次
Part I: The Global Financial Environment: 1. Introduction: Reasons to Study International Finance. Company Goals and Functions of Financial Management. Multinational Companies and Their Performance. Principles of Global Finance. Agency Theory and Environmental Differences. Organization of the Book. Summary. Key Terms and Concepts. Questions. References. Case Problem 1: What Is a US Company? 2. Motives for World Trade and Foreign Investment: Motives for Foreign Trade. Economic Integration. Motives for Foreign Investment. A Synthesis of Foreign Trade and Investment Theories. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 2: LG's Acquisition of Zenith. 3. The Balance of Payments: Double-Entry Accounting. Balance-of-Payments Accounts. The Actual Balance of Payments. Trade Friction Between the US and Japan. How to Restore International Equilibrium. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 3: Managed Trade: The Only Way to Reduce the US-Japan Trade Imbalance? 4. The International Monetary System: A Successful Foreign Exchange System. Brief History of International Monetary System. The International Monetary Fund. The European Monetary Union. Proposals for Further International Monetary Reform. Summary. Key Terms and Concepts. Questions. References. Case Problem 4: Mexican Peso Crisis in December 1994. Part II: Foreign Exchange Risk Management: 5. An Overview of the Foreign Exchange Market: Dimensions of the Foreign Exchange market. Major Participants in the Exchange Market. Spot Exchange Quotation: Spot Exchange Rate. Forward Exchange Quotation: Forward Exchange Rates. Theories of Foreign Exchange-Rate Determination. Arbitrages. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 5: Big Mac PPP. 6. Currency Futures and Options: The Currency Futures Market. The Currency Options Market. Futures Options. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 6: Merck's Use of Currency Options. 7. Financial Swaps: The Emergence of the Swap Market. Plain Vanilla Swaps. Motivations for Swaps. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 7: Regulations of Derivative Markets. 8. Exchange Rate Forecasting: Measuring Exchange Rate Changes. Forecasting Needs of the Multinational Company. Forecasting Floating Exchange Rates. Forecasting Fixed Exchange Rates. Summary. Key Terms and Concepts. Questions. Problems. References. Case Problem 8: GM Operations in Mexico and the Peso Crisis. 9. Foreign Exchange Risk Management: Foreign Exchange Exposures. Translation Exposure Management. Transaction Exposure Management. Economic Exposure Management. Summary. Key Terms and Concepts. Problems. References. Case Problem 9: Olivetti's Economic Exposure Management. Part III: Financing International Transactions. 10. International Financial Markets: Eurocurrency Markets. The Asian Currency Market. ... (Part Contents).
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