International Financial Management - David K Eiteman and others

International Financial Management - David K Eiteman and others

International Financial Management

A Comprehensive Guide to Managing Finances in a Global Economy

In today's interconnected world, businesses of all sizes are increasingly operating on a global scale. This presents both opportunities and challenges for financial managers, who must navigate complex currency markets, international trade regulations, and political risks.

Why You Need This Book

International Financial Management provides a comprehensive and up-to-date guide to managing finances in a global economy. Written by leading experts in the field, this book covers everything from the basics of international finance to the most advanced topics.

What You'll Learn

By reading International Financial Management, you will learn how to:

  • Manage currency risk
  • Finance international trade
  • Invest in foreign markets
  • Raise capital from international sources
  • Mitigate political risk

Why This Book is a Must-Have

International Financial Management is a must-have resource for any financial manager who wants to succeed in the global economy. This book provides the knowledge and tools you need to make sound financial decisions and achieve your business goals.

Order Your Copy Today!

Don't miss out on this essential guide to international financial management. Order your copy of International Financial Management today!

Table of Contents

  • Part I: The Basics of International Finance
    • Chapter 1: The International Monetary System
    • Chapter 2: Foreign Exchange Markets
    • Chapter 3: International Trade and Investment
  • Part II: Managing Currency Risk
    • Chapter 4: Currency Risk Management Techniques
    • Chapter 5: Hedging Currency Risk
    • Chapter 6: Speculating in Currency Markets
  • Part III: Financing International Trade
    • Chapter 7: Export and Import Financing
    • Chapter 8: Letters of Credit
    • Chapter 9: Forfaiting
  • Part IV: Investing in Foreign Markets
    • Chapter 10: Foreign Direct Investment
    • Chapter 11: Portfolio Investment
    • Chapter 12: Global Asset Allocation
  • Part V: Raising Capital from International Sources
    • Chapter 13: International Bond Markets
    • Chapter 14: International Equity Markets
    • Chapter 15: Syndicated Loans
  • Part VI: Mitigating Political Risk
    • Chapter 16: Political Risk Analysis
    • Chapter 17: Political Risk Management Techniques
    • Chapter 18: Insurance against Political Risk

About the Authors

David K. Eiteman is Professor Emeritus of Finance at the University of California, Los Angeles. He is the author of numerous books and articles on international finance, and he has served as a consultant to businesses and governments around the world.

Arthur I. Stonehill is Professor of Finance at the University of California, Berkeley. He is the author of several books and articles on international finance, and he has served as a consultant to businesses and governments around the world.

Michael H. Moffett is Professor of Finance at the University of Southern California. He is the author of several books and articles on international finance, and he has served as a consultant to businesses and governments around the world.


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