Global Financial Management

Global Financial Management
Author: Thomas J. O'Brien
Publisher: Wiley
Total Pages: 426
Release: 1995-09-12
Genre: Business & Economics
ISBN: 9780471578543

This book takes a broad scope approach by combining traditional international corporate finance and international financial markets. The focus is on financing in global markets; economic currency exposure and capital structure; and international capital budgeting with global asset pricing frameworks.

International Financial Management

International Financial Management
Author: Jeff Madura
Publisher: Cengage AU
Total Pages: 808
Release: 2018-01-01
Genre: Business & Economics
ISBN: 0170386139

Equip your students for success in international finance with the unrivalled depth of theory and practical applications presented in Madura, Hoque and Krishnamurti's INTERNATIONAL FINANCIAL MANAGEMENT, Asia-Pacific 1st edition. This APAC edition builds on the fundamental principles of corporate finance to provide the timely information and contemporary insights your students need to prosper in today's global business environment. With the original US edition being well known for its inviting reader-friendly style and clear explanations, this APAC 1st edition introduces international finance with a focus on the important role of modern multinational corporations in global commerce within a strong APAC context. Using a strong corporate perspective, it discusses a wide range of managerial topics and emphasises the most recent changes in the international environment. Relevant examples, instructive diagrams, self-tests, and other learning features provide hands-on experience to help your students develop the skills they need to effectively manage in contemporary practice.

International Financial Management

International Financial Management
Author: Alan C. Shapiro
Publisher: John Wiley & Sons
Total Pages: 0
Release: 2014
Genre: Business enterprises
ISBN: 9781118929322

Designed for students taking courses in international finance, international financial management, multinational finance and multinational financial management, International Financial Management 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. * Includes coverage of the emergence of the new international financial system, the rise of the BRICS and the credit crunch. * Complete use of IFRS throughout the chapter on measuring and managing transactions. * Contains numerous Asian, Latin American, African and European cases, applications and examples. * Provides a truly global context for the study of international financial management. * Focuses on decision making in an international context. * Contains coverage of all of the traditional areas of corporate finance including: working capital management, capital budgeting, cost of capital and financial structure.

The International Handbook of Public Financial Management

The International Handbook of Public Financial Management
Author: Richard Allen
Publisher: Springer
Total Pages: 1125
Release: 2013-08-15
Genre: Business & Economics
ISBN: 113731530X

The Handbook is a virtual encyclopedia of public financial management, written by topmost experts, many with a background in the IMF and World Bank. It provides the first comprehensive guide to the subject that has been published in more than ten years. The book is aimed at a broad audience of academics/students, government officials, development agencies and practitioners. It covers both bread-and-butter topics such as the macroeconomic and legal framework for budgeting, budget preparation and execution, procurement, accounting, reporting, audit and oversight, as well as specialist subjects such as government payroll systems, local government finance, fiscal transparency, the management of fiscal risks, sovereign wealth funds, the management of state-owned enterprises, and political economy aspects of budgeting. The book sets out numerous examples and case studies describing good practice in public financial management, and is highly relevant for use in both advanced and developing countries.

The Theory and Practice of International Financial Management

The Theory and Practice of International Financial Management
Author: Reid W. Click
Publisher:
Total Pages: 472
Release: 2002
Genre: Business & Economics
ISBN:

For MBA courses in International Corporate Finance, International Business Finance, and Multinational Financial Management. This book focuses upon the basic principles which together make a "toolkit" for analysis of issues in international finance. It also captures the importance and excitement of international financial management and highlights the new approaches in the field. It covers the theoretical foundations of international financial decisions and contains extensive applications of the theory to financial practice with a main objective of developing critical thinking skills regarding the theory and practice of international financial management.

International Financial Management : Canadian Perspectives

International Financial Management : Canadian Perspectives
Author: Cheol S. Eun
Publisher: McGraw-Hill Ryerson
Total Pages: 521
Release: 2004-12
Genre: International business enterprises
ISBN: 9780070912281

The overriding objective of Eun and Resnick's International Financial Management, 3e is to teach students how to be effective global financial managers. The text covers the fundamentals of the macroeconomic environment of international financial management, discusses the financial environment in which the multinational firm and its managers must function, and covers foreign exchange management and financial management in a multinational firm..

Emerging Tools and Strategies for Financial Management

Emerging Tools and Strategies for Financial Management
Author: Álvarez-García, Begoña
Publisher: IGI Global
Total Pages: 357
Release: 2020-02-14
Genre: Business & Economics
ISBN: 1799824411

Over the past years, significant changes have occurred in the corporate sector arising from globalization, increasing international competitiveness, and intensive use of information and communication technologies (ICTs). These developments have led to new corporate and social behaviors that are affecting the entire corporate value chain. Thus, business organizations are focusing on technological innovation as a driving force of development. Emerging Tools and Strategies for Financial Management is a pivotal reference source that explores both practical and theoretical perspectives on how financial management is evolving and how future consequences of technological innovation will affect individuals, businesses, and society. While highlighting topics such as financial imbalance, venture capital, and shadow banking, this publication explores the relationship between companies and their customers and the methods of generating changes in today’s enterprises. This book is ideally designed for business managers, financial analysts, financial controllers, directors, finance officers, treasurers, entrepreneurs, CEOs, academicians, students, and research professionals.

International Financial Management

International Financial Management
Author: Geert J. Bekaert
Publisher:
Total Pages: 800
Release: 2013-08-07
Genre: Foreign exchange
ISBN: 9781292021393

For undergraduate and graduate students enrolled in an international finance course. An approach that blends theory and practice with real-world data analysis. International Financial Management seamlesslyblends theory with the analysis of data, examples, and practical case situations. Overall, Bekaert/Hodrick equips future business leaders with the analytical tools they need to understand the issues, make sound international financial decisions, and manage the risks that businesses may face in today's competitive global environment. All data in this edition has been updated to reflect the most recent information, including coverage on the latest research, global financial crisis, and emerging markets.

Handbook of Research on Financial Management During Economic Downturn and Recovery

Handbook of Research on Financial Management During Economic Downturn and Recovery
Author: Teixeira, Nuno Miguel
Publisher: IGI Global
Total Pages: 594
Release: 2021-06-04
Genre: Business & Economics
ISBN: 1799866440

Times of crisis are unexpected and they bring diverse challenges and opportunities for companies, financial markets, and the economy. On one hand, more risk and uncertainties appear, yet on the other hand, it is an opportunity to reorganize and reinvent the company. It is important for businesses to understand ways to deal with uncertainty and risk in times of economic downturn and what financial strategies and tools can be used to eliminate or reduce the potential negative effects. These effects can reach the company’s financial performance, capital structure, as well as cause financial debt and the availability of cash-flow to companies. However, different financial instruments can sustain the business and deal with the difficulties of payment when sales reduce and uncertainty increases; thus, research is essential in this critical area. When economic downturn affects the financial markets, the role of banks, country dynamics, the economy, and many other facets of the business world, financial management becomes the key for business recovery. The Handbook of Research on Financial Management During Economic Downturn and Recovery shares relevant knowledge on challenges and opportunities caused by crises, such as the pandemic, and the effects on economic and financial arenas. The chapters cover topics such as business models to understand how companies react to pandemic and crises situations, as well as how they change their management and way of conducting business. Other important topics include sustainable development, international financial markets, capital structure changes, uncertainty and risk, and governance and leadership. This book is ideal for shareholders, directors and managers, economists, researchers, academics, practitioners, stakeholders, researchers, academicians, and students interested in knowledge on topics about challenges in the way that companies, financial markets, financial institutions, and governments respond to risk and uncertainty.