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International financial management is a book on the subject of financial management and the financial trends that are ruling the market.international financial management is a subject about managing finances from a broader, global perspective and takes into account, trading, exchanging foreign currency and earning money through the right activities.it is an all - encompassing book on financial management that puts forth all the necessary information about the present financial trends. And presents insights on the present global monetary system, fdi projects, interest rates, indian foreign exchange markets and credit derivatives. The chapters in the book include objectives of the firm and the impact of risk, financial management in a global context, the nature and measurement of exposure and risk, the balance of payments and corporate exposure management policy. It also consists of an enlightening chapter on the global financial markets as well as a chapter on the international monetary system.international financial management is a book that financial management students can find useful because of its comprehensibility and reliability. This 6th edition was published by mcgraw hill education india private limited in 2011 and is available as a paperback. Key features: the chapters dealing with the global monetary system, global financial market and the global and indian foreign exchange markets have been updated in this version.it includes case studies which helps in practically applying the concepts learnt through the book.
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Book Description Tata McGraw-Hill Education Pvt. Ltd, 2011. Softcover. Condition: New. 5th or later edition. This new edition extensively updates the chapters dealing with global monetary system and global financial markets as well as chapters dealing with global and Indian foreign exchange markets. It continues to discuss case studies which illustrate substantive practical applications of concepts and techniques discussed in the chapters. Table of Contents: Chapter 1: Financial Management in a Global Context Chapter 2: Objectives of the Firm and the Impact of Risk Chapter 3: The Nature and Measurement of Exposure and Risk Chapter 4: The Balance of Payments Chapter 5: The International Monetary System Chapter 6: Global Financial Markets and Interest Rates Chapter 7: The Foreign Exchange Market Chapter 8: Forwards, Swaps and Interest Parity Chapter 9: Currency and Interest Rate Futures Chapter 10: Currency Options Chapter 11: Exchange Rate Determination and Forecasting Chapter 12: Corporate Exposure Management Policy Chapter 13: Hedging, Speculation and Management of Transactions Exposure Chapter 14: Management of Operating Exposure Chapter 15: Management of Interest Rate Exposure FRAs, Interest Rate Caps and Floors Chapter 16: Financial Swaps and Credit Derivatives Chapter 17: Short-Term Financial Management in a Multinational Corporation Chapter 18: International Equity Investment Chapter 19: Long-Term Borrowing in the Global Capital Markets Chapter 20: International Project Appraisal Chapter 21: Accounting Implications of International Activities Chapter 22: Tax Implications of International Activities Appendix A?Interest Rate Mathematics Appendix B?Selected ISO Currency Codes, by Continent and Country Printed Pages: 732. Seller Inventory # 67115