International Finance: For Non-Financial Managers

  • 4h 36m
  • Dora Hancock
  • Kogan Page
  • 2018

International Finance offers a clear and accessible introduction to the fundamental principles and practice of international finance in today's world, from the international financial environment and exchange rates, to financing multinational companies and international investment. The theory and techniques are presented with the non-financial manager in mind, and the theoretical material is supplemented by case studies and a discussion of the appropriateness of the various techniques and principles to solve practical problems. This book draws from examples and practice around the world, helping students of international corporate finance, particularly non-specialist finance students, understand the complexities of modern Europe and comparative systems of finance globally.

International Finance is essential reading for anyone studying international finance or needing an up-to-date, engaging resource to help them navigate the complicated and ever-changing global financial world. Key theories and terms are explained and defined, avoiding unnecessary jargon and acknowledging that many readers are coming to the subject with little or no prior knowledge of corporate finance at all.

About the Author

Dora Hancock has over 30 years' teaching experience at universities in the UK including Birmingham City University and Leeds Beckett University. Recently, her teaching has focused solely on finance, including international, corporate and investment finance on undergraduate, postgraduate and professional courses. She has taught UK and international students. The author is passionate about teaching and writing materials for students and lecturers to use.

In this Book

  • The Rise of the Multinational and the International Monetary System
  • The Institutions and Participants that Make up the Global Financial System
  • The History of Exchange Rates, the IMF and the World Bank
  • The Euro and the Global Financial Environment Post the Global Financial Crisis
  • Exchange Rate Regimes
  • Parity Conditions and Forecasting Exchange Rates
  • Foreign Exchange Markets
  • Determining and Managing Exchange Risk
  • Financing International Trade
  • International Investment Appraisal
  • Investing Directly in Foreign Enterprises
  • Country Risk Analysis
  • Emerging Markets
  • International Cash Management
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