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Bis zu 50 % günstiger als neu

Der Umwelt zuliebe

Multinational Finance

Kirt Butler (Unbekannter Einband, Englisch)

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Beschreibung
Multinational Finance assumes the viewpoint of the financial manager of a multinational corporation with investment or financial operations in more than one country. The text provides a framework for evaluating the many opportunities, costs, and risks of multinational operations in a manner that allows readers to see beyond the algebra and terminology to the general principles of multinational financial management. Multinational Finance includes coverage of traditional topics such as foreign exchange and Eurocurrency markets, multinational treasury management, management of currency risk exposures (transaction, operating, and translation), country risk, multinational capital structure and cost of capital, taxation of foreign source income, and international portfolio diversification. Also included are distinctive chapters on the economic rationale for hedging currency risks, derivatives markets (with separate chapters on currency futures, options, and swaps), real options in international markets, international corporate governance, and international asset pricing. Intended for MBA and advanced undergraduate classes, the text requires only a single preparatory course in finance. Chapters that extend material from the first course begin with a brief review of the fundamentals. Numerous graphs and figures assist the reader in understanding key financial concepts and techniques are used in practice. Advanced material is placed in chapter appendices, so that study can be tailored to each individual's objectives.
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Technische Daten


Erscheinungsdatum
23.05.2008
Sprache
Englisch
EAN
9781405181181
Herausgeber
John Wiley & Sons
Sonderedition
Nein
Autor
Kirt Butler
Seitenanzahl
696
Auflage
4
Einbandart
Broschiert
Autorenporträt
Kirt C. Butler is an Associate Professor in the Department of Finance at Michigan State University, where he teaches multinational finance and global strategy in MSU's Eli Broad College of Business. He joined the faculty in 1985 after completing his doctorate in Finance at MSU. He also holds an M.B.A. in Finance from the College of Business, an M.S. in Computer Science from the College of Engineering, and a B.A. in Psychology from the Honors College at Michigan State University. Professor Butler's research has appeared in a variety of academic and practitioner journals including the Journal of Finance, Journal of Accounting Research, Financial Analysts Journal, Journal of Portfolio Management, Journal of International Money and Finance, and the Journal of International Business Studies, among others. His academic research has been profiled in the New York Times, Time and Money magazines, and on the CNN and CNBC websites.
Schlagwörter
Finanzwesen, Internationales Rechnungswesen
Inhaltsverzeichnis
PART ONE The International Financial Environment. 1 An Introduction to Multinational Finance (revise). 2 World Trade and the International Monetary System (update). 3 Foreign Exchange and Eurocurrency Markets (update & revise). 4 The International Parity Conditions (update & revise). PART TWO Managing the Risks of Multinational Operations. 5 The Rationale for Hedging Currency Risk (re-order sections a bit). 6 Multinational Treasury Management (update & revise). 7 Managing Transaction Exposure to Currency Risk (update). 8 Managing Operating Exposure to Currency Risk (update & revise). 9 Managing Translation Exposure to Currency Risk (update). 10 Country Risk Management (update & revise). PART THREE Derivative Securities for Currency Risk Management. 11 Currency Futures and Futures Markets (update). 12 Currency Options and Options Markets (update). 13 Currency Swaps and Swaps Markets (update). PART FOUR Valuation and the Structure of Multinational Operations. 14 Cross-Border Capital Budgeting (preserve intact). 15 Multinational Capital Structure and Cost of Capital (revise). 16 Taxes and Multinational Corporate Strategy (update). 17 Real Options and Cross-Border Investment (revise). 18 Corporate Governance & the International Market for Corporate Control (update). PART FIVE International Portfolio Investment and Asset Pricing. 19 International Capital Markets (combines parts of Chapters 1, 3, 22 from previous edition). 20 International Portfolio Diversification (update). 21 International Asset Pricing (update & revise). 22 Managing an International Investment Portfolio (update & revise). (Proposed changes in parentheses)
Höhe
255 mm
Breite
20.3 cm

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