International Financial Management, 15/e (Asia Edition)
暫譯: 國際金融管理,第15版(亞洲版)

Jeff Madura,Chad Zipfel

  • 出版商: Cengage Learning
  • 出版日期: 2026-07-21
  • 售價: $1,580
  • 貴賓價: 9.8$1,548
  • 語言: 英文
  • 頁數: 709
  • ISBN: 9815292870
  • ISBN-13: 9789815292879
  • 相關分類: 商業管理類
  • 尚未上市,歡迎預購

相關主題

商品描述

Madura/Zipfel’s INTERNATIONAL FINANCIAL MANAGEMENT, 15th Edition, builds on the principles of corporate finance, providing timely information and an understanding of managerial topics in a global environment. Real-world examples and explanations help you understand the importance of multinational corporations in global commerce. New content explores the impact of FinTech on global finance, hands-on skills and techniques to mitigate financial risks and step-by-step Excel financial models. The updated Blades case at the end of each chapter helps you apply your learning to real-world scenarios that you can follow along with throughout the book. Step-by-step Excel problems are a key change in this edition. Examples, self-tests and hands-on exercises work with MindTap online algorithmic practice problems to help you understand “the why” along with the “what” and “how.”

商品描述(中文翻譯)

Madura/Zipfel 的《國際財務管理》第15版,基於企業財務的原則,提供及時的信息和對全球環境中管理主題的理解。真實世界的例子和解釋幫助您理解跨國公司在全球商業中的重要性。新內容探討了金融科技(FinTech)對全球財務的影響、減輕財務風險的實用技能和技術,以及逐步的 Excel 財務模型。每章結尾更新的 Blades 案例幫助您將所學應用於現實世界的情境,您可以在整本書中跟隨這些案例。逐步的 Excel 問題是本版的一個關鍵變化。範例、自我測試和實作練習與 MindTap 在線算法練習問題相結合,幫助您理解「為什麼」以及「什麼」和「如何」。

作者簡介

作者:Jeff Madura
現職:Florida Atlantic University

作者:Chad Zipfel
現職:Ohio State University

作者簡介(中文翻譯)

作者:Jeff Madura
現職:佛羅里達大西洋大學

作者:Chad Zipfel
現職:俄亥俄州立大學

目錄大綱

PART I: THE INTERNATIONAL FINANCIAL ENVIRONMENT
Ch 1 Multinational Financial Management: An Overview
Ch 2 International Flow of Funds
Ch 3 International Financial Markets
Ch 4 Exchange Rate Determination
Ch 5 Currency Derivatives

PART II: EXCHANGE RATE BEHAVIOR
Ch 6 Government Influence on Exchange Rates
Ch 7 International Arbitrage and Interest Rate Parity
Ch 8 Relationships among Inflation, Interest Rates, and Exchange Rates

PART III: EXCHANGE RATE RISK MANAGEMENT
Ch 9 Forecasting Exchange Rates
Ch10 Measuring Exposure to Exchange Rate Fluctuations
Ch11 Managing Transaction Exposure
Ch12 Managing Economic Exposure and Translation Exposure

PART IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT
Ch13 Direct Foreign Investment
Ch14 Multinational Capital Budgeting
Ch15 Corporate Governance: International Acquisitions and Divestitures
Ch16 Country Risk Analysis
Ch17 Multinational Capital Structure and Cost of Capital
Ch18 Long-Term Debt Financing

PART V: SHORT-TERM ASSET AND LIABILITY MANAGEMENT
Ch19 Financing International Trade
Ch20 Short-Term Financing
Ch21 International Cash Management
Ch22 Fintech in Financial Markets

目錄大綱(中文翻譯)

PART I: THE INTERNATIONAL FINANCIAL ENVIRONMENT

Ch 1 Multinational Financial Management: An Overview

Ch 2 International Flow of Funds

Ch 3 International Financial Markets

Ch 4 Exchange Rate Determination

Ch 5 Currency Derivatives



PART II: EXCHANGE RATE BEHAVIOR

Ch 6 Government Influence on Exchange Rates

Ch 7 International Arbitrage and Interest Rate Parity

Ch 8 Relationships among Inflation, Interest Rates, and Exchange Rates



PART III: EXCHANGE RATE RISK MANAGEMENT

Ch 9 Forecasting Exchange Rates

Ch10 Measuring Exposure to Exchange Rate Fluctuations

Ch11 Managing Transaction Exposure

Ch12 Managing Economic Exposure and Translation Exposure



PART IV: LONG-TERM ASSET AND LIABILITY MANAGEMENT

Ch13 Direct Foreign Investment

Ch14 Multinational Capital Budgeting

Ch15 Corporate Governance: International Acquisitions and Divestitures

Ch16 Country Risk Analysis

Ch17 Multinational Capital Structure and Cost of Capital

Ch18 Long-Term Debt Financing



PART V: SHORT-TERM ASSET AND LIABILITY MANAGEMENT

Ch19 Financing International Trade

Ch20 Short-Term Financing

Ch21 International Cash Management

Ch22 Fintech in Financial Markets