International Financial Management (Text and Cases)

International Financial Management (Text and Cases)
Author: Bhalla V.K.
Publisher: S. Chand Publishing
Total Pages: 1092
Release: 2020
Genre: Business & Economics
ISBN: 8121942918

Part: I 1. International Financial Management: An Overview 2. The International Monetary 3. European Monetary System 4. The Global Liquidity 5. International Financial System 6. Financial Globalisation And The Crisis 7. The Financial Accounting Among Countries And International Part: Ii 8. Foreign Exchange Markets 9. Managing Foreign Exchange Reserves 10. Exchange Rate Theories 11. Currency Futures 12. Currency Options 13. The International Swap Market 14. Role Of Swaps In Managing External Debt 15. Financial Derivatives Market: A Global Perspective Part Iii 16. Foreign Exchange Risk Exposure 17. The Exposure Information System 18. Strategies For Exposure Management And Techniques For Foreign Exchange Rate Projections 19. Exposure Management 20. Organisation Of The Exposure Management Function Part Iv Part V Part Vi ...41. International Taxation Glossary Selected Bibliography Index

Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc.

Taxmann’s International Financial Management | Text & Cases – Detailed treatise of important concepts, practical application with solved examples (both numerical & theoretical), case studies, etc.
Author: Prof. Madhu Vij
Publisher: Taxmann Publications Private Limited
Total Pages: 21
Release: 2021-12-10
Genre: Education
ISBN: 9392211805

International Financial Management provides an effective and detailed presentation of important concepts and practical application in today’s global business environment, which includes: • Foreign Exchange Market • International Financial System • Eurocurrency Market • Currency Futures & Options • Swaps • Country Risk Analysis • Capital Budgeting The key highlight of this book is that it uses several examples (both numerical & theoretical) to highlight the applications of various dimensions of international finance. This book aims to fulfil the requirement of students of PGDM, MBA, M.Com., Master of Economics, Master of Finance & Control (MFC), MIB, other Post Graduate Diploma in Risk Management & other post-graduate specialized disciplines. The Present Publication is the 4th Edition, authored by Prof. Madhu Vij. The book has been organized around five major areas, namely: • [International Financial Environment] emphasizing its institutional set-up while discussing why is it important to study international finance. This area is further subdivided into four chapters, namely: o Overview of the International Financial Management o History of International Monetary System; Emphasis on Bretton Woods System o International Financial Institutions with a particular focus on the World Bank, International Monetary Fund (IMF), and European Monetary System o Balance of Payment Concepts and Accounting • [The Foreign Exchange Markets] o Derivatives o Foreign Currency Futures and Options Contracts that are traded on Stock Exchanges o Forex Markets with an emphasis on Fundamentals of Forex Trading, Overview of Operations of the Spot and Foreign Exchange Markets, How is Foreign Exchange Quoted and Traded Worldwide • [Managing Foreign Exchange Exposure] o Management of Foreign Exchange Risk with a discussion on kinds of exposure MNCs face o Translation Exposure or Accounting Exposure, which discusses the various methods for translating financial statements o Management of Transaction Exposure that arises from contractual obligations denominated in a foreign currency o Management of Economic Exposure • [Financial Management of the Multinational Firm] o Foreign Direct Investment o Cost of Capital and Capital Structure of the MNC o Application and Interpretation of MNC Capital Budgeting explaining various methods with the help of numerical examples and case studies o Multinational Cash Management o Identifies and Analyses the Various Dimensions of Country Risk Analysis o Eurocurrency and Eurobond Market • [Managing Foreign Operations] o Interest Rate and Currency Swaps explaining how they can be used to reduce financing costs and risks o Global Depository Receipts and American Depository Receipts

International Financial Management(Indian Text Ed.

International Financial Management(Indian Text Ed.
Author: S.P. Srinivasan
Publisher: Dreamtech Press
Total Pages: 212
Release: 2005-07-15
Genre:
ISBN: 9788177226218

The book updates the reader with the most of the critical issues in international finance including extensive case studies to widen the students perspectives. The chapters have been arranged in a logical manner to facilitate easy comprehension. Illustrations with solutions are given to guide the students. The book is a self study guide adopting a non-mathematical oriented approach with lucidity in explanation which simplifies the learning process.

Strategic Financial Management Casebook

Strategic Financial Management Casebook
Author: Rajesh Kumar
Publisher: Academic Press
Total Pages: 605
Release: 2017-01-05
Genre: Business & Economics
ISBN: 0128093528

Strategic Financial Management Casebook strategically uses integrative case studies—cases that do not emphasize specific subjects such as capital budgeting or value based management—to provide a framework for understanding strategic financial management. By featuring holistic presentations, the book puts readers into the shoes of those responsible for the world's largest wealth creators. It covers strategies of growth, mergers and acquisitions, financial performance analysis over the past decade, wealth created in terms of stock returns since its listing in stock market, investment and financial decisions, cost of capital, and corporate valuation. In addition, the casebook also discusses corporate restructuring activities undertaken by each company. Each chapter follows a template to facilitate learning, and each features an Excel-based case analysis worksheet that includes a complete data set for financial analysis and valuation. - Introduces a conceptual framework for integrating strategy and finance for value creation - Emphasizes the roles of corporate governance, corporate social responsibility, and risk management in value creation - Encourages an analysis of investment, financing, and dividend decisions - Examines non-financial factors that contribute to value

Financial Management in the Sport Industry

Financial Management in the Sport Industry
Author: Brown T Matthew
Publisher: Routledge
Total Pages: 810
Release: 2016-12-15
Genre: Sports & Recreation
ISBN: 1351817469

Financial Management in the Sport Industry provides readers with an understanding of sport finance and the importance of sound financial management in the sport industry. It begins by covering finance basics and the tools and techniques of financial quantification, using current industry examples to apply the principles of financial management to sport. It then goes beyond the basics to show how financial management works specifically in sport - how decisions are made to ensure wealth maximization. Discussions include debt and equity financing, capital budgeting, facility financing, economic impact, risk and return, time value of money, and more. The final section focuses on sport finance in three sectors of the industry - public sector sports, collegiate athletics, and professional sport-providing in-depth analysis of financial management in each sector. Sidebars, case studies, concept checks, and practice problems throughout provide practical applications of the material and enable thorough study and practice. The business of sport has changed dynamically since the publication of the first edition, and this second edition reflects the impact of these changes on financial management in the sport industry. New to this edition are changes to reflect the global nature of sport (with, for example, discussions of income tax rates in the Premiere League), expanded material on the use of spreadsheets for financial calculations, a primer on accounting principles to help students interpret financial statements, a valuation case study assignment that takes students step by step through a valuation, a new stadium feasibility analysis using the efforts of the Oakland Raiders to obtain a new stadium, a new economic impact example focusing on the NBA All Star game, and much more.

Financial Strategy for Public Managers

Financial Strategy for Public Managers
Author: Sharon Kioko
Publisher:
Total Pages:
Release: 2017-09-07
Genre:
ISBN: 9781927472590

Financial Strategy for Public Managers is a new generation textbook for financial management in the public sector. It offers a thorough, applied, and concise introduction to the essential financial concepts and analytical tools that today's effective public servants need to know. It starts "at the beginning" and assumes no prior knowledge or experience in financial management. Throughout the text, Kioko and Marlowe emphasize how financial information can and should inform every aspect of public sector strategy, from routine procurement decisions to budget preparation to program design to major new policy initiatives. They draw upon dozens of real-world examples, cases, and applied problems to bring that relationship between information and strategy to life. Unlike other public financial management texts, the authors also integrate foundational principles across the government, non-profit, and "hybrid/for-benefit" sectors. Coverage includes basic principles of accounting and financial reporting, preparing and analyzing financial statements, cost analysis, and the process and politics of budget preparation. The text also includes several large case studies appropriate for class discussion and/or graded assignments.

Financial Management and Accounting in the Public Sector

Financial Management and Accounting in the Public Sector
Author: Gary Bandy
Publisher: Routledge
Total Pages: 406
Release: 2014-11-13
Genre: Business & Economics
ISBN: 1317659236

The impact of the global financial crisis on government funds has been significant, with squeezed budgets having to satisfy ever-increasing demands for public services. Managers working in the public sector are confronted daily with targets and demands that are often set in confusing accounting and financial language. In Financial Management and Accounting in the Public Sector, Gary Bandy employs a clear and concise narrative to introduce the core concepts of accounting and financial management in the public sector and how to deliver services that represent value for money. This second edition has been revised and updated throughout, offering: an increased focus on post-crisis austerity more international examples of public financial management greater coverage of governance, accountability and risk management With a glossary of terms to help managers understand and be understood by accountants, as well as learning objectives, case studies and discussion questions, this practical textbook will help students of public management and administration to understand the financial and accounting aspects of managing public services.

FUNDAMENTALS OF INTERNATIONAL FINANCIAL MANAGEMENT

FUNDAMENTALS OF INTERNATIONAL FINANCIAL MANAGEMENT
Author: S. KEVIN
Publisher: PHI Learning Pvt. Ltd.
Total Pages: 295
Release: 2009-04-15
Genre: Business & Economics
ISBN: 8120337913

This concise and compact text explains, with great precision and clarity, the basic concepts, theories and practices of international business. The text is so significant because, in today’s modern globalized economic environment, international transactions form an integral part of economic activities. Businesses today are no more confined to national boundaries and have become truly international. Any budding or practising manager, especially of big companies, needs to know the fundamentals of international finance. And this book, written by Professor S. Kevin, who has a rich and long experience in teaching international finance, eminently fulfils this need. The book begins with an explanation of the exchange rate mechanism of foreign currencies, factors influencing exchange rate fluctuations, and the trading mechanism in foreign exchange markets. As currency forwards, futures, options and swaps are the instruments of currency derivatives used as hedging and speculative tools, the book goes on to give a detailed description of the use of currency derivatives for hedging as well as speculative functions. It concludes with an analysis of international financial institutions and their functioning, the participants and instruments of global financial markets where international funds are raised, the many uses of international funds in the form of portfolio investments, and direct investments in host countries. The book is primarily intended as a text for postgraduate students of commerce and management, chartered accountancy (CA) and chartered financial analysis (CFA). It would also be of immense value to practising professionals in the field of international finance. Key Features : Illustrates the concepts with the help of examples, figures and tables. Clearly explains risk management tools and techniques. Discusses the role of international financial institutions in the global financial market. Is a handy text for self-study.