Items related to Foundations of Multinational Financial Management

Foundations of Multinational Financial Management - Softcover

 
9780205128914: Foundations of Multinational Financial Management

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Synopsis

Focused on real–life decision making in an international context, this text demystifies and simplifies multinational financial management in a clear, conceptual framework. The approach is to treat international financial management as a natural and logical extension of the principles and valuation framework provided by domestic corporate financial management to account for dimensions unique to international finance.

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From the Back Cover

A CLEAR STRATEGY FOR SUCCESS IN INTERNATIONAL FINANCE!

Learn how to take advantage of valuable opportunities in international finance with Alan Shapiro′s FOUNDATIONS OF MULTINATIONAL FINANCIAL MANAGEMENT FOURTH EDITION. Based  on his best–selling text, Multinational Financial Management, Sixth Edition, FOUNDATIONS emphasizes broad concepts and practices rather than extensive quantitative material. Shapiro provides a clear, conceptual framework for analyzing key financial decisions in multinational firms.

Updated, reorganized, and streamlined, the new Fourth Edition features many new solved numerical examples, new end–of–chapter problems and questions, and three new extended real–life cases.

FEATURES

  • Treats international financial management as a natural and logical extension of the principles learned in the foundations course in financial management.
  • Extends the valuation framework of domestic corporate finance to account for dimensions unique to international finance.
  • Explores all the traditional areas of corporate finance from the perspective of a multinational corporation, including working capital management, capital budgeting, cost of capital, and financial structure.
  • Focuses on decision making in an international context.
  • Offers a variety of real–life examples, both numerical and institutional, that demonstrate the use of financial analysis and reasoning in solving international financial problems.

Synopsis

The approach of this text is to treat international financial management as a logical extension of the principles detailed in the foundation course in financial management. Its frame of reference is decision-making in an international context. Tabulated and textual examples illustrate the application of these concepts and techniques, but mathematical complexity has been kept to a minimum. There are also three new chapters on currency futures and options markets, international portfolio investment and country risk analysis. The book features separate chapters on special financing vehicles, the measurement and management of political risk and designing a global financing strategy. Each chapter includes learning objectives, key terms, key ideas highlighted in the margin, summaries, questions, problems and examples drawn from actual companies.

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