為您推薦
其他會員也一起購買
International Financial Management 作 / 譯 者 : Cheol S. Eun,Bruce G. Resnick,Tuugi Chuluun I S B N - 13 : 9781266224058 I S B N - 10 : 126622405X 類 別: 國際財務管理 版 次: 10 版 年 份: 2024 規 格: 596 頁 出 版 商: McGraw Hill Education 內容簡介 International Financial Management provides students with a foundation for analysis through a text that is well-organized, comprehensive, and provides up-to-date coverage of the topics. Like the first nine editions, it is written based on two tenets: emphasis on the basics and emphasis on a managerial perspective. The scope and content of international finance has been fast evolving due to cycles of deregulations and regulations of financial markets, product innovations, and technological advancements. As capital markets of the world are becoming more integrated, a solid understanding of international finance has become essential for astute corporate decision making. Reflecting the growing importance of international finance as a discipline, we have seen a sharp increase in the demand for experts in the area in both the corporate and academic worlds. International Financial Management discussion is written so that a self-contained treatment of each subject is presented in a user-friendly fashion. The text is intended for use at both the advanced undergraduate and MBA levels. 目錄 PART I: FOUNDATIONS OF INTERNATIONAL FINANCIAL MANAGEMENT Ch 1 Globalization and the Multinational Firm Ch 2 International Monetary System Ch 3 Balance of Payments Ch 4 Corporate Governance Around the World PART II: THE FOREIGN EXCHANGE MARKET, EXCHANGE RATE DETERMINATION, AND CURRENCY DERIVATIVES Ch 5 The Market for Foreign Exchange Ch 6 International Parity Relationships and Forecasting Foreign Exchange Rates Ch 7 Futures and Options on Foreign Exchange PART III: FOREIGN EXCHANGE EXPOSURE AND MANAGEMENT Ch 8 Management of Transaction Exposure Ch 9 Management of Economic Exposure Ch10 Management of Translation Exposure PART IV: WORLD FINANCIAL MARKETS AND INSTITUIONS Ch11 International Banking and Money Market Ch12 International Bond Market Ch13 International Equity Markets Ch14 Interest Rate and Currency Swaps Ch15 International Portfolio Investment PART V: FINANCIAL MANAGEMENT OF THE MULTINATIONAL FIRM Ch16 Foreign Direct Investment and Cross-Border Acquisitions Ch17 International Capital Structure and the Cost of Capital Ch18 International Capital Budgeting Ch19 Multinational Cash Management Ch20 International Trade Finance Ch21 International Tax Environment and Transfer Pricing
其他會員也一起購買
書名:Global Marketing 10/E 作者:Green/Keegan 出版社:PEARSON 出版日期:2020/02/00 ISBN:9781292304021 內容簡介 目錄 PART 1: INTRODUCTION 1. Introduction to Global Marketing PART 2: THE GLOBAL MARKETING ENVIRONMENT 2. The Global Economic Environment 3. The Global Trade Environment 4. Social and Cultural Environments 5. The Political, Legal, and Regulatory Environments PART 3: APPROACHING GLOBAL MARKETS 6. Global Information Systems and Market Research 7. Segmentation, Targeting, and Positioning 8. Importing, Exporting, and Sourcing 9. Global Market-Entry Strategies: Licensing, Investment, and Strategic Alliances PART 4: THE GLOBAL MARKETING MIX 10. Brand and Product Decisions in Global Marketing 11. Pricing Decisions 12. Global Marketing Channels and Physical Distribution 13. Global Marketing Communications Decisions I: Advertising and Public Relations 14. Global Marketing Communications Decisions II: Sales Promotion, Personal Selling, and Special Forms of Marketing Communication 15. Global Marketing and the Digital Revolution PART 5: STRATEGY AND LEADERSHIP IN THE TWENTY-FIRST CENTURY 16. Strategic Elements of Competitive Advantage 17. Leadership, Organization, and Corporate Social Responsibility
其他會員也一起購買
【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
相關熱銷的書籍推薦給您
國際金融理論基礎篇 ISBN13:9789576096792 出版社:華泰 作者:賴景昌 裝訂:平裝 出版日:2007/02/01 中國圖書分類:貨幣、金融 內容簡介 本書之特色 1. 利用最簡單的市場供需原理,創新地闡述各種不同的匯率制度(包括:固定匯率制度、浮動匯率制度、管理浮動匯率制度、雙元匯率制度、複式匯率制度及一籃通貨制度等)之共同及相異點。 2. 清楚地解釋封閉經濟與開放經濟的理論設計差異;並創新地設計理論架構,將相關的文獻作脈絡一貫的聯結。 3. 配合實際的數據,解釋每個國際金融理論站上舞臺的歷史背景,有助於讀者對於每個國際金融理論的理解。 4. 撰寫大量的「個案研討」,將經濟理論活用於國際金融事件(諸如亞洲全融風暴及歐元問世等),提升讀者的國際金融知識。 5. 盡可能以淺顯的用詞及採用圖形解析的方法,闡述相關的國際金融議題,增進讀者學習的興趣。
相關熱銷的書籍推薦給您
【中文書】 書名:國際財務管理與金融(第四版) 作者:劉亞秋、薛立言 出版社:東華 出版日期:2017/07/31 ISBN:9789574839018 內容簡介 本書四版所作的修正如下 1. 增加一個新專欄:「開啟國際視窗」,其中各篇分別探討諸如「全球貿易的空前危機」、「英國脫歐之後」、「跨國大 交易室裡的勾結行為」、「大到不能倒的 」、「歐盟成為其會員國的稅收警察」等金融相關之國際萬象。 2. 有關「樂學新知」專欄的內容, 除將原有各篇資料更新至最近期,亦新增「外債佔 GDP 的比例 v s . 政府負債佔 GDP 的比例」、「實質有效匯率 v s . 實質匯率」、「稅基侵蝕與利潤移轉」等篇幅。 3. 「觀微知著」專欄方面, 除作各篇資料更新之外, 又特為解答近年來一些市場人士心中對 TRF 的疑惑, 而增加「目標可贖回遠期契約(TRF) 的解析」。 4. 若干章節內文也作了大幅更新。譬如, 第二章針對國際貨幣基金組織 (IMF) 所推出之國際收支表的編製新規範 (BPM6), 就我國自2 0 1 6 年起改按 BPM6 重編之國際收支表內各帳戶的定義及淨額正負號, 仔細重作解讀。第四章針對目前在全球每日外匯交易中占最大比重的「換匯交易」, 有新增長達六頁的說明。 5. 為防本書在新增各項內容之後變得更加厚重, 特將本書第三版若干內容以及各類專欄中的若干篇幅移至東華書局 , 有興趣的讀者可自行前往閱讀之。 6. 各章習題與題庫, 亦根據內文所作之更新, 作了相對應之修正。另亦將第三版的 Typo 作了訂正。 目錄 PART1 國際金融環境與市場發展 Chapter 1 企業邁向全球化 Chapter 2 國際收支與金融危機 Chapter 3 國際貨幣制度的演進與改革 PART2 外匯市場、國際平價條件 Chapter 4 外匯市場 Chapter 5 國際平價關係與匯率預測 PART3 外匯衍生商品 Chapter 6 外匯期貨合約 Chapter 7 交換合約 Chapter 8 外匯選擇權合約 PART4 匯率曝險程度的衡量與管理 Chapter 9 交易曝險程度的衡量與管理 Chapter 10 營運曝險程度的衡量與管理 Chapter 11 換算曝險程度的衡量與管理 PART5 國際金融市場與海外融資 Chapter 12 國際 業務與海外負債融資 Chapter 13 海外權益融資 PART6 國際化營運管理 Chapter 14 國際化現金管理 Chapter 15 跨國資本預算
相關熱銷的書籍推薦給您
國際金融 International Monetary and Financial Economics 作者: Joseph P. Daniels, David D. Van Hoose 譯者: 李隆生 出版社:雙葉書廊 出版日期:2015/03/25 語言:繁體中文 定價:695元 內容簡介 本書對國際貨幣和金融領域提供完整的導論,並探討現今國際金融的重要議題。除了聚焦在決定匯率和國際收支的基本方法外,亦強調開放經濟體的經濟政策制定,對於開放經濟體所面對的傳統和現代政策議題有深入探討。 ▶內容涵蓋國際金融和開放經濟體總體經濟學的所有重要相關主題。 ▶書中概念可幫助了解和分析全球貨幣和金融事件。 ▶眾多真實世界案例,有助於提高學習動機。 目錄 第一篇 國際支付和匯率 第01章 與變動的世界經濟同步──貿易流動、資本流動和國際收支 為何了解國際貨幣和國際金融是重要的 國際經濟整合:全球貿易和金融市場的重要性 國際收支 國際交易案例及其如何影響國際收支 資本帳與國際資產流動 連結經常帳餘額和資本流動 第02章 外匯市場 匯率和外匯市場 衡量貨幣的整體強弱:有效匯率 合成貨幣 外匯套利 貨幣供需 購買力平價 第03章 匯率體系:從過去到現在 匯率體系 金本位 布列敦森林體系 彈性匯率體系 今日的其它匯率體系形式 固定或浮動匯率? 第二篇 國際財務機構、市場和機構 第04章 遠期外匯市場和國際金融套利 外匯風險 遠期外匯市場 國際金融套利 未拋補利率平價 外匯市場效率 國際金融市場 第05章 利息殖利率、利率風險和衍生性證券 利率 利率差距──超額報酬和未拋補利率平價的不存在 實質利率和實質利率平價 避險、投機和衍生性證券 常見的衍生性證券和他們的風險 第06章 國際銀行業、中央銀行和超國家之金融政策制定機構 金融中介的國際層次 全球支付和金融體系風險 銀行管制和資本要求 中央銀行 中央銀行的業務 超國家金融政策制定機構 第07章 國際金融結構和新興經濟體 國際資本流動 資本市場自由化和國際金融危機 匯率制度和金融危機 國際金融結構是否需要重新設計 第三篇 匯率和國際收支的決定 第08章 決定國際收支和匯率的傳統方法 傳統方法的共同特性 出口、進口和外匯的供需 彈性方法 吸納方法 第09章 決定國際收支和匯率的貨幣方法和組合方法 中央銀行資產負債表 管理匯率:外匯干預 國際收支和匯率決定的貨幣方法 貨幣方法的應用:兩國模型 匯率決定的組合方法 第四篇 開放經濟總體經濟學和政策分析 第10章 開放經濟架構 衡量經濟表現:國內生產毛額和物價指數 實質所得和支出:IS線 實質貨幣均衡市場:LM線 國際收支:BP線和IS-LM-BP模型 第11章 固定利率下的經濟政策 政策目標 資本流動性的角色 固定匯率和不完全資本移動性 固定匯率和完全資本移動性 第12章 浮動匯率下的經濟政策 浮動匯率和不完全資本移動性 浮動匯率和完全資本移動性 固定vs.浮動匯率 第13章 價格水準、實質產出和經濟政策制定 總合需求 總合供給 實質產出、價格水準和經濟政策決策 經濟政策制定裡的規則vs.權衡 第五篇 全球經濟中的國內與跨國決策 第14章 全球經濟中的國內經濟決策 指派問題 對於僵固薪資與價格政策活動的匯率因應──匯率的過度反應 開放程度與通膨 新開放經濟總體經濟學與政策意涵 第15章 政策協調、貨幣聯盟與目標區 國際間的相互依存 重新檢視完全資本移動性:國際政策協調有用嗎? 國際政策協調的好處與壞處 貨幣聯盟經濟學 中介貨幣 折衷之道:匯率目標區
類似書籍推薦給您
As globalization is redefining the field of corporate finance, international finance is now part and parcel of the basic literacy of any financial executive. This is why International Corporate Finance is a "must" text for upper-undergraduates, MBAs and young professionals aspiring to careers in global financial services. It offers a comprehensive coverage of International monetary system and currency markets Global financial markets including Asian banking and Islamic Finance Geocentric debt and equity multi-currency financing strategies Currency derivatives and foreign exchange risk management Cross-border valuation, mergers & acquisitions and project finance Unique to the book is that each chapter opens with a real-life mini-case to anchor theoretical concepts to managerial situations and also provides simple decision rules and "how to do" answers to key managerial finance issues. Cross-border Mergers & Acquisitions, Project Finance, Islamic Finance, Asian Banking & Finance, and Financial Control Systems are completely new chapters that no other textbooks currently cover. The book also includes 20 concise and original case studies for class discussion and is accompanied with a comprehensive instructor support package which includes case studies, an Instructor's Manual, PowerPoint slides, and more.
類似書籍推薦給您
【簡介】 "International Business: The New Realities connects to individuals facing a diverse and evolving economic environment fueled by the internet and multimedia sources. The authors speak to this group's reliance on technology, their drive towards achievement and helping their communities, and their desire to obtain job-relevant skills. As such, the 6th Edition features updated cases, examples and exercises that address their interests and issues. This includes the competitive job market; and diversity, equity, and inclusion in the workplace." 【目錄】 "PART I: FOUNDATION CONCEPTS Ch 1 Introduction: What Is International Business? Ch 2 Globalization of Markets and the Internationalization of the Firm PART II: THE ENVIRONMENT OF INTERNATIONAL BUSINESS Ch 3 The Cultural Environment of International Business Ch 4 Ethics, Corporate Social Responsibility, Sustainability, and Governance in International Business Ch 5 Theories of International Trade and Investment Ch 6 Political and Legal Systems in National Environments Ch 7 Government Intervention and Regional Economic Integration Ch 8 Understanding Emerging Markets Ch 9 The International Monetary and Financial Environment Ch10 Financial Management and Accounting in the Global Firm PART III: STRATEGY AND OPPORTUNITY ASSESSMENT Ch11 Strategy and Organization in the International Firm Ch12 Global Market Opportunity Assessment PART IV: ENTERING AND WORKING IN INTERNATIONAL MARKETS Ch13 Exporting and Global Sourcing Ch14 Foreign Direct Investment and Collaborative Ventures Ch15 Licensing, Franchising, and Other Contractual Strategies PART V: FUNCTIONAL AREA EXCELLENCE Ch16 Marketing in the Global Firm Ch17 Human Resource Management in the Global Firm"
資訊
工程
數學與統計學
機率與統計
自然科學
健康科學
地球與環境
建築、設計與藝術
人文與社會科學
教育
語言學習與考試
法律
會計與財務
大眾傳播
觀光與休閒餐旅
考試用書
研究方法
商業與管理
經濟學
心理學
生活
生活風格商品
參考書/測驗卷/輔材