Applied International Finance I: Managing Foreign Exchange Risk

Second Edition

Printed Book
SR 349
Inclusive of VAT
Sold as: EACH
SR21Per Month/24 months
Author:OBrien, Thomas J.
Date of Publication: 2017
Book classification:Business & Management,English Books,
No. of pages:162 Pages
Format:Paperback

This book is printed on demand and is non-refundable after purchase

Available Formats :

Printed Book

It will be sent to your address

SR349
Incl. VAT

Choose your delivery preference

Or

About this Product

This volume is part of a three-volume set designed for use in a course in applied international corporate finance for managers and executives. Instead of the "encyclopedic" approach, the volumes focus on main issues of interest to managers who deal with overseas operations. This volumes issue is how uncertain foreign exchange (FX) rate changes affect a firms ongoing cash flows and equity value, and what can be done about this risk. Numerous examples of real-world companies are used. The volume contains a hypothetical case that aims to tie the material together. The case company has overseas operations and is faced with ongoing FX exposure in corporate revenues. The decision maker estimates the FX exposure and considers financial hedging using foreign currency debt and currency swaps. The accounting implications are also considered. The volume reviews some basics of FX rates; for more information, see the first volume: Introduction to Foreign Exchange Rates, 2nd edition, Business Expert Press, 2016. The third volume deals with the estimation of the cost of capital for international operations and the evaluation of overseas investment proposals: Applied International Finance: International Capital Budgeting, 2nd edition, Business Expert Press, 2017.
Show more

Specifications

SKU9781947441286
Manufacturer Number9781947441286
year published2017
Show more

Report an issue with this product.

Customer Reviews