Author: Pan Weihe
Publisher:
Publishing Date: 2005-04-01
Features: This book is not an original, independent work. It is compiled based on over a hundred foreign original journals, monographs, and textbooks, while also incorporating relevant content from textbooks of domestic sister institutions. In certain aspects, the editors have independently expanded on the basic theories, proposed new analyses, and made new arrangements and explanations for the extensive materials in the literature. Many contents in the book are presented in Chinese publications for the first time. During the writing process, the editors strived to ensure the book possesses three characteristics: 1. Systematic: The book aims to fully and comprehensively reflect the overall picture of the theoretical system of international financial management, especially in the quantitative analysis of international financial management, making beneficial attempts. 2. Thorough: In the organization of content, the book does not start from abstract concepts or definitions but arranges theoretical content based on the deduction of concepts. 3. Innovative: Since the 1990s, the theoretical advancements in the field of international financial management, the evolution and development of the international financial market environment, and its new features have been adequately reflected throughout the textbook. The book discusses broad asset securitization, changes in the syndicate lending market, the emergence and development of the merger financing market, and other relatively new contents in domestic textbooks.
International Financial Management
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