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For undergraduate courses in International Financial Management, International Business Finance, or International Finance.

 

Real-world examples introduce readers to global financial management strategy

Fundamentals of Multinational Finance helps prepare tomorrow’s business leaders to comprehend global markets and lead organizations through a constantly changing global environment. Via illuminating case studies and real¿-world examples, readers are introduced to the fundamental concepts and tools necessary to implement an effective global financial management strategy. The 6th Edition reflects the juxtaposed forces of an increasingly digital global marketplace and a resurgence of nationalist culture and identity. Financial forces, markets, and management are in many ways at the crux of this challenge. This edition reflects a business world trying to find a new balance between business startups like the micro-multinational, a maturing China, a separatist Britain (Brexit), and an attempt by governments globally to channel, regulate (and tax) multinational firms that continue to grow in stature and strength.

 

Also available with MyLab Finance

MyLab™ Finance is an online homework, tutorial, and assessment program designed to work with this text to engage students and improve results. Within its structured environment, students practice what they learn, test their understanding, and pursue a personalized study plan that helps them better absorb course material and understand difficult concepts.

 

NOTE: You are purchasing a standalone product; MyLab Finance does not come packaged with this content. If you would like to purchase both the physical text and MyLab Finance, search for:


0134618580 / 9780134618586 Fundamentals of Multinational Finance Plus MyLab Finance with Pearson eText -- Access Card Package

 

Package consists of:

  • 0134472136 / 9780134472133 Fundamentals of Multinational Finance
  • 0134626575 / 9780134626574 MyLab Finance with Pearson eText -- Access Card -- for Fundamentals of Multinational Finance


For undergraduate courses in International Financial Management, International Business Finance, or International Finance.

 

Real-world examples introduce students to global financial management strategy

Fundamentals of Multinational Finance helps prepare tomorrow’s business leaders to comprehend global markets and lead organizations through a constantly changing global environment. Via illuminating case studies and real¿-world examples, students are introduced to the fundamental concepts and tools necessary to implement an effective global financial management strategy. The 6th Edition reflects the juxtaposed forces of an increasingly digital global marketplace and a resurgence of nationalist culture and identity. Financial forces, markets, and management are in many ways at the crux of this challenge. This edition reflects a business world trying to find a new balance between business startups like the micro-multinational, a maturing China, a separatist Britain (Brexit), and an attempt by governments globally to channel, regulate (and tax) multinational firms that continue to grow in stature and strength.

 

Also available with MyLab Finance

MyLab™ Finance is an online homework, tutorial, and assessment program designed to work with this text to engage students and improve results. Within its structured environment, students practice what they learn, test their understanding, and pursue a personalized study plan that helps them better absorb course material and understand difficult concepts.


Students, if interested in purchasing this title with MyLab, ask your instructor for the correct package ISBN and Course ID. Instructors, contact your Pearson representative for more information.

PART 1: GLOBAL FINANCIAL ENVIRONMENT

  1. Multinational Fin Mgmt: Challenges & Opportunities
  2. The International Monetary System
  3. The Balance of Payments
  4. Financial Goals and Corporate Governance

PART 2: FOREIGN EXCHANGE THEORY & MARKETS

  1. The Foreign Exchange Market
  2. International Parity Conditions

Appendix: An Algebraic Primer to Parity Conditions

  1. Foreign Currency Futures & Options
  2. Interest Rate Derivatives & Swaps
  3. Exchange Rate Determination & Forecasting

PART 3: FOREIGN EXCHANGE EXPOSURE

  1. Transaction Exposure
  2. Translation Exposure
  3. Operating Exposure

PART 4: FINANCING THE GLOBAL FIRM

  1. The Global Cost and Availability of Capital
  2. Funding the Multinational Firm
  3. Multinational Tax Management
  4. International Trade Finance

PART 5: FOREIGN INVESTMENTS & OPERATIONS

  1. Foreign Direct Investment & Political Risk
  2. Multinational Capital Budgeting & Cross-Border Acquisitions

Answers to selected end-of-chapter problems

About our authors

Michael H. Moffett is Continental Grain Professor in Finance at the Thunderbird School of Global Management, where he has been since 1994. He has also held teaching or research appointments at Oregon State University (1985 to 1993), the University of Michigan, Ann Arbor (1991 to 1993), the Brookings Institution, Washington, DC, the University of Hawaii at Manoa, the Aarhus School of Business (Denmark), the Helsinki School of Economics and Business Administration (Finland), the International Centre for Public Enterprises (Yugoslavia), and the University of Colorado, Boulder. Moffett received a BA (Economics) from the University of Texas at Austin (1977), an MS (Resource Economics) from Colorado State University (1979), an MA (Economics) from the University of Colorado, Boulder (1983), and a PhD (Economics) from the University of Colorado, Boulder (1985). He has authored, co-authored, or contributed to a number of books, articles and other publications. He has coauthored 2 books with Art Stonehill and David Eiteman, Multinational Business Finance, and this book, Fundamentals of Multinational Finance. His articles have appeared in the Journal of Financial and Quantitative Analysis, Journal of Applied Corporate Finance, Journal of International Money and Finance, Journal of International Financial Management and Accounting, Contemporary Policy Issues, Brookings Discussion Papers in International Economics, and others. He has contributed to a number of collected works including the Handbook of Modern Finance, the International Accounting and Finance Handbook, and the Encyclopedia of International Business. He is also co-author of a number of books in multinational business with Michael Czinkota and Ilkka Ronkainen, International Business (7th edition) and Global Business (4th edition). Professor Moffett has also published extensively in the oil and gas industry including The Global Oil and Gas Industry: Strategy, Finance, and Management, with Andrew Inkpen, Managing Human Resources in the Oil & Gas Industry, with Steve Werner and Andrew Inkpen, and The Global Oil and Gas Industry: Case Studies From The Field, with Andrew Inkpen and Kannan Ramaswamy.

Arthur I. Stonehill is a Professor of Finance and International Business, Emeritus, at Oregon State University, where he taught for 24 years (1966 to 1990). During 1991 to 1997 he held a split appointment at the University of Hawaii at Manoa and Copenhagen Business School. From 1997 to 2001 he continued as a Visiting Professor at the University of Hawaii at Manoa He has also held teaching or research appointments at the University of California, Berkeley, Cranfield School of Management (UK), and the North European Management Institute (Norway). He was a former president of the Academy of International Business, and was a western director of the Financial Management Association. Stonehill received a BA (History) from Yale University (1953), an MBA from Harvard Business School (1957), and a PhD in Business Administration from the University of California, Berkeley (1965). He was awarded honorary doctorates from the Aarhus School of Business (Denmark, 1989), the Copenhagen Business School (Denmark, 1992), and Lund University (Sweden, 1998). He has authored or co-authored 9 books and 25 other publications. His articles have appeared in Financial Management, Journal of International Business Studies, California Management Review, Journal of Financial and Quantitative Analysis, Journal of International Financial Management and Accounting, International Business Review, European Management Journal, The Investment Analyst (UK), Nationaløkonomisk Tidskrift (Denmark), Sosialøkonomen (Norway), Journal of Financial Education, and others.

David K. Eiteman is Professor Emeritus of Finance at the John E. Anderson Graduate School of Management at UCLA. He has also held teaching or research appointments at the Hong Kong University of Science & Technology, Showa Academy of Music (Japan), the National University of Singapore, Dalian University (China), the Helsinki School of Economics and Business Administration (Finland), University of Hawaii at Manoa, University of Bradford (UK), Cranfield School of Management (UK), and IDEA (Argentina). He is a former president of the International Trade and Finance Association, Society for Economics and Management in China, and Western Finance Association. Eiteman received a BBA (Business Administration) from the University of Michigan, Ann Arbor (1952), an MA (Economics) from the University of California, Berkeley (1956), and a PhD (Finance) from Northwestern University (1959). He has authored or co-authored 4 books and 29 other publications. His articles have appeared in The Journal of Finance, The International Trade Journal, Financial Analysts Journal, Journal of World Business, Management International, Business Horizons, MSU Business Topics, Public Utilities Fortnightly, and others.

Details

  • A print text
  • Free shipping

Hallmark features of this title

  • A running case on hypothetical US firm, Trident Corporation, provides a cohesive framework for the multifaceted globalization process.
  • End-of-chapter Mini-Cases illustrate the chapter content and extend it to the multinational financial business environment.
  • Global Finance in Practice boxes provide accounts of real-world business practices and give insight in the subtle nuances of the conduct of financial management.
  • End-of-chapter questions and problems assess students’ understanding of the material. All problems are solved using spreadsheet solutions.
  • A wealth of illustrations and exhibits provide a visual parallel to the concepts and content presented.
  • A student-friendly writing style is combined with a structured presentation of material.

New and updated features of this title

  • NEW: Content helps students navigate major emerging markets, new market currencies, government intervention and more.
    • NEW: Interest Rate Risk and Swaps. A new chapter details the various interest rate risks of the MNE and the practical use of interest rate and cross currency swaps.
    • NEW: The Foreign Exchange Market and Digital Trade. New material explores how the changing structure of the global foreign exchange market (trading, communication, and settlement) is posing challenges for private players and public regulators and overseers.
    • NEW: International Taxation. Integrally linked to a world of digital commerce, multinational tax management continues to rise in its significance in multinational financial management.
    • NEW: Political Risk and Financial Losses. The chapter on foreign direct investment and political risk has been revised to reflect the growing use of restrictions on convertibility, transferability, and the possibility of repudiation or expropriation.
  • 11 NEW: Mini-Cases explore many of the edgier debates rising between global business, social policy, and corporate social responsibility. Topics include Argentine debt and vulture investors, Apple’s global profit positioning and tax structure, and Brexit and its potential impact on Rolls Royce.

Catégories

Caractéristiques

    • ISBN
      9780134472133
    • Code produit
      192814
    • Éditeur
      Pearson
    • Format
      Papier

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