International Money and Finance - Michael Melvin

International Money and Finance

(Autor)

Buch | Hardcover
336 Seiten
2012 | 8th edition
Academic Press Inc (Verlag)
978-0-12-385247-2 (ISBN)
85,95 inkl. MwSt
zur Neuauflage
  • Titel erscheint in neuer Auflage
  • Artikel merken
Zu diesem Artikel existiert eine Nachauflage
Suitable for those who seek employment in multinational industries, this title focuses on standard economic tools and financial management skills. It introduces international finance to readers with diverse backgrounds who want jobs in international investment, international banking, and multinational corporations.
Its high-level perspective on the global economy differentiates this introduction to international finance from other textbooks. Melvin and Norrbin provide essential information for those who seek employment in multinational industries, while competitors focus on standard economic tools and financial management skills. Readers learn how to reach their own conclusions about trends and new developments, not simply function within an organization. The 8th edition, newly updated and expanded, offers concise descriptions, current case studies, and new pedagogical materials to help readers make sense of global finance.

Michael Melvin is with the Rady School of Management at UCSD where he coordinates and teaches in the Master of Finance program. Prior roles include Managing Director and Head of Currency and Fixed Income Research at BlackRock, Adjunct Professor at the Haas School of Business at UC Berkeley, Co-editor of the Journal of International Money & Finance, and Professor of Economics at Arizona State University.

I. The International Monetary Environment

1. The Foreign Exchange Market2. International Monetary Arrangements3. The Balance of Payments

II. International Parity Conditions

4. Forward-looking Instruments5. Eurocurrency Markets6. Interest Rates and Exchange Rates: Covered Interest Rate Parity7. Prices and Exchange Rates: PPP

III. Risk and International Capital Flows

8. Foreign Exchange Risk and Forecasting9. Financial Management of the Multinational Firm10. International Portfolio Investment11. Direct Foreign Investment and International Lending

IV. Modeling the Exchange Rate and Balance of Payments

12. Elasticity and Absorption models13. The IS-LM-BP Approach14. The Monetary Approach15. Extensions and challenges to the Monetary Approach

Erscheint lt. Verlag 30.11.2012
Verlagsort San Diego
Sprache englisch
Maße 152 x 229 mm
Gewicht 580 g
Themenwelt Sozialwissenschaften Soziologie
Wirtschaft Betriebswirtschaft / Management Finanzierung
Wirtschaft Volkswirtschaftslehre Makroökonomie
ISBN-10 0-12-385247-1 / 0123852471
ISBN-13 978-0-12-385247-2 / 9780123852472
Zustand Neuware
Haben Sie eine Frage zum Produkt?
Mehr entdecken
aus dem Bereich
Investition, Finanzierung, Finanzmärkte und Steuerung

von Martin Bösch

Buch | Softcover (2022)
Vahlen (Verlag)
39,80
theoretische Basis und praktische Anwendung

von Ralf Jürgen Ostendorf

Buch | Softcover (2023)
De Gruyter Oldenbourg (Verlag)
39,95