
| 本书内容五分五大部分:国际金融环境、汇率与经济波动的关系及影响因素、汇率风险管理、短期资产和债务管理、长期资产和债务管理。作者在讲述基本理论和概念的同时,着重讨论了跨国金融管理、国际金融市场、外汇汇率决策、政府对汇率的影响、通货膨胀、利率与汇率三者之间的关系,跨国资本成本与资本结构以及如何利用Internet获取财务数据及信息等方面的知识。 |
| PART I THE INTERNATIONAL FINANCIAL ENVIRONMENT
CHAPTER 1 MULTINATIONAL FINANCIAL MANAGEMENT:AN OVERVIEW CHAPTER2 INTERNATIONAL FLOW OF FUNDS CHAPTER3 INTERNATIONAL FINANCIAL MARKETS CHAPTER4 EXCHANGE RATE DETERMINATION CHAPTER5 CURRENCY FUTURES AND OPTIONS PART II EXCHANGE RATE BEHAVIOR CHAPTER6 GOVERNMENT INFLUENCE ON EXCHANGE RATES CHAPTER7 INTERNATIONAL ARBITRAGE AND INTEREST RATE PARITY CHAPTER8 RELATIONSHIPS BETWEEN INFLATION,INTEREST RATES,AND EXCHANGE RATES PART III EXCHANGE RATE RISK MANAGEMENT CHAPTER9 FORECASTING EXCHANGE RATES CHAPTER10 MEASURING EXPOSURE TO EXCHANGE RATE CHAPTER11 MANAGING TRANSACTION EXPOSURE CHAPTER 12 MANAGING ECONOMIC EXPOSURE AND TRANSLATION EXPOSURE PART IV SHORT-TERM ASSET AND LIABILITY CHAPTER 13 FINANCING INTERNATIONAL TRADE CHAPTER 14 SHORT-TERM FINANCING ………… PART V LONG-TERM ASSET AND LIABILITY CHAPTER 16 DIRECT FOREIGN INVESTMENT CHAPTER 17 MULTINATIONAL CAPITAL BUDGETING CHAPTER 18 MULTINATIONAL COST OF CAPITAL AND CAPITAL CHAPTER 19 COUNTRY RISK ANALYSIS CHAPTER 20 LONG-TERM FINANCING CHAPTER 21 GLOBAL STRATEGIC PLANNING |
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