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PART I The International Financial Environment
- International Financial Management and the Multinational Firm
- The International Monetary Environment
- Foreign Exchange Rate Determination
- The Foreign Exchange Market
- Foreign Currency Options
PART II Measuring and Managing Foreign Exchange Exposure
- Transaction Exposure
(Decision Cases: Lufthansa and ZAPA Chemical and BuBa)
- Operating Exposure
- Accounting Exposure
(Decision Case: Tektronix C)
- Interest Rate Exposure and Swaps
(Decision Case: British Columbia Hydro)
PART III Financing the Global Firm
- The Global Cost of Capital and Financial Structure
- Sourcing Equity Globally
- Sourcing Debt Globally
PART IV Foreign Investment Decisions
- Corporate Strategy: Foreign Direct Investment and Political Risk
- Multinational Capital Budgeting
(Decision Case: P.T. Semen Gresik)
- International Acquisitions and Valuation
- Adjusting for Risk in Foreign Investments
PART V Managing Multinational Operations
- Multinational Taxation
- Repositioning Funds
(Decision Case: Northwestern Paper Company)
- Working Capital Management
(Decision Case: The Far East Trading Company)
- Export and Import Financing
- Evaluation and Performance
PART VI Advanced Topics in Multinational Finance
- International Portfolio Theory and the MNE
- Advanced Topics in Currency Risk Management
- Advanced Topics in Interest Rate Risk Management
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