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【簡介】 Like its predecessors, the thirteenth edition of Analysis for Financial Management is for nonfinancial executives and business students interested in the practice of financial management. It introduces standard techniques and recent advances in a practical, intuitive way. This product assumes no prior background beyond a rudimentary and perhaps rusty familiarity with financial statements―although a healthy curiosity about what makes business tick is also useful. The emphasis throughout is on the managerial implications of financial analysis. Analysis for Financial Management should prove valuable to individuals interested in sharpening their managerial skills 【目錄】
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【簡介】 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 Ch18 Long-Term Debt Financing PART V: SHORT-TERM ASSET AND LIABILITY MANAGEMENT Ch19 Financing International Trade Ch20 Short-Term Financing Ch21 International Cash Management Ch22 Fintech in Financial Markets
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