Multinational Financial Management,12/e (Paperback)
暫譯: 跨國財務管理,第12版(平裝本)

Alan C. Shapiro , Paul Hanouna , Atulya Sarin

  • 出版商: Wiley
  • 出版日期: 2024-01-01
  • 定價: $1,580
  • 售價: 9.8$1,548
  • 語言: 英文
  • 頁數: 672
  • ISBN: 1394187831
  • ISBN-13: 9781394187836
  • 相關分類: 投資理財 Investment
  • 下單後立即進貨 (約5~7天)

相關主題

商品描述

本書序言

●New coverage of cryptocurrency, changing post-pandemic investment strategies, globalization, and national security and cybersecurity
●New coverage discussing the recent conversion of LIBOR-based rates to Risk Free Rates (RFRs) such as the Secured Overnight Financing Rate (SOFR). These sections include the history of LIBOR, the reasons for moving away from LIBOR, and the new alternative benchmark rates
●New coverage and examples on SOFR futures and computing 3-month and 6-month SOFR rates
●New discussions on recent changes to US tax laws and international taxation and their implications on transfer pricing
●New discussion of the Russian war on Ukraine and its effects on global prices, outsourcing, and trade relations
●New material on ESG investing and Green Bonds

本書特色

●Focuses on corporate practice and the issues, tools, and techniques used in day-to-day financial decision-making
●Highlights the shared foundation of basic principles of multinational and domestic corporate finance
●Features numerous real-world examples of applications of financial concepts and theories
●Includes action-oriented learning objectives, mini-cases, and end-of-chapter exercises related to actual companies and situations
●Provides extensive teaching materials, including an instructor's manual, case studies, a test bank, and a companion website

商品描述(中文翻譯)

本書序言

● 新增有關加密貨幣、後疫情時代的投資策略變化、全球化以及國家安全和網絡安全的內容

● 新增有關LIBOR基準利率轉換為無風險利率(Risk Free Rates, RFRs)的討論,例如擔保隔夜融資利率(Secured Overnight Financing Rate, SOFR)。這些部分包括LIBOR的歷史、轉向無風險利率的原因以及新的替代基準利率

● 新增有關SOFR期貨及計算3個月和6個月SOFR利率的內容和範例

● 新增有關美國稅法和國際稅收的近期變更及其對轉讓定價的影響的討論

● 新增有關俄羅斯對烏克蘭戰爭及其對全球價格、外包和貿易關係影響的討論

● 新增有關ESG投資和綠色債券的材料

本書特色

● 專注於企業實務及日常財務決策中使用的問題、工具和技術

● 突顯多國和國內企業財務的基本原則的共同基礎

● 提供大量真實案例,展示財務概念和理論的應用

● 包含以行動為導向的學習目標、小案例及與實際公司和情況相關的章末練習

● 提供廣泛的教學材料,包括教師手冊、案例研究、測驗題庫和輔助網站

作者簡介

Alan C. Shapiro- University of Southern California
Paul Hanouna- Villanova University
Atulya Sarin- Santa Clara University

作者簡介(中文翻譯)

艾倫·C·夏皮羅 - 南加州大學

保羅·哈努納 - 維拉諾瓦大學

阿圖利亞·薩林 - 聖克拉拉大學

目錄大綱

PART I The International Financial Management Environment
1 Introduction: Multinational Corporations and Financial Management
2 The Determination of Exchange Rates
3 The International Monetary System
4 Parity Conditions in International Finance and Currency Forecasting
5 The Balance of Payments and International Economic Linkages
PART II The Foreign Exchange and Derivative Markets
6 The Foreign Exchange Market
7 Currency Futures and Options Markets
8 Currency, Interest rate, and Credit Derivatives and Swaps
PART III Foreign Exchange Risk Management
9 Measuring and Managing Translation and Transaction Exposure
10 Measuring and Managing Economic Exposure
PART IV The International Capital Markets and Portfolio Management
11 International Financing and National Capital Markets
12 The Euromarkets
13 International Portfolio Management
PART V International Capital Budgeting
14 Country Risk Analysis
15 The Cost of Capital for Foreign Investments
16 Corporate Strategy and Foreign Direct Investment
17 Capital Budgeting for the Multinational Corporation
18 Managing the Internal Capital Markets of Multinational Corporations

目錄大綱(中文翻譯)

PART I The International Financial Management Environment

1 Introduction: Multinational Corporations and Financial Management

2 The Determination of Exchange Rates

3 The International Monetary System

4 Parity Conditions in International Finance and Currency Forecasting

5 The Balance of Payments and International Economic Linkages

PART II The Foreign Exchange and Derivative Markets

6 The Foreign Exchange Market

7 Currency Futures and Options Markets

8 Currency, Interest rate, and Credit Derivatives and Swaps

PART III Foreign Exchange Risk Management

9 Measuring and Managing Translation and Transaction Exposure

10 Measuring and Managing Economic Exposure

PART IV The International Capital Markets and Portfolio Management

11 International Financing and National Capital Markets

12 The Euromarkets

13 International Portfolio Management

PART V International Capital Budgeting

14 Country Risk Analysis

15 The Cost of Capital for Foreign Investments

16 Corporate Strategy and Foreign Direct Investment

17 Capital Budgeting for the Multinational Corporation

18 Managing the Internal Capital Markets of Multinational Corporations