International Financial Management: English

Author: Jeff Madura
Publisher:
Publish Date: 1999-01-01
Features: The book is divided into five main parts: International Financial Environment, The Relationship Between Exchange Rates and Economic Fluctuations and Their Influencing Factors, Exchange Rate Risk Management, Short-Term Asset and Debt Management, and Long-Term Asset and Debt Management. While explaining basic theories and concepts, the author focuses on discussing topics such as international financial management, international financial markets, foreign exchange rate decision-making, the government's impact on exchange rates, inflation, the relationship among interest rates, exchange rates, and inflation, cross-border capital costs and capital structure, as well as how to use the Internet to obtain financial data and information. The book is divided into five main parts: International Financial Environment, The Relationship Between Exchange Rates and Economic Fluctuations and Their Influencing Factors, Exchange Rate Risk Management, Short-Term Asset and Debt Management, and Long-Term Asset and Debt Management. While explaining basic theories and concepts, the author focuses on discussing topics such as international financial management, international financial markets, foreign exchange rate decision-making, the government's impact on exchange rates, inflation, the relationship among interest rates, exchange rates, and inflation, cross-border capital costs and capital structure, as well as how to use the Internet to obtain financial data and information.

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