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International Investments
  • Language: en
  • Pages: 792

International Investments

Provides comprehensive coverage of international investment concepts and theories. This book is useful for advanced undergraduates and MBA students, and for professionals working in the investments area.

Global Investments
  • Language: en
  • Pages: 689

Global Investments

This is the eBook of the printed book and may not include any media, website access codes, or print supplements that may come packaged with the bound book. For courses in International Investment. Global Investments, the Sixth Edition of the previously titled International Investments, provides accessible coverage of international capital markets using numerous examples to illustrate the applications of concepts and theories. The new title reflects the current understanding that the distinction between domestic and international is no longer relevant and that asset management is global. This book is ideal for CFA® (Chartered Financial Analyst) candidates, advanced finance undergraduates, and MBA individuals, and it has been selected by the CFA Institute as part of the curriculum to deliver the Candidate Body of Knowledge for the CFA. The text is also widely used by professionals working in the investments area, as the level is accessible to readers and portfolio managers without recent training in portfolio theory.

International Investments
  • Language: en
  • Pages: 420

International Investments

None

Global Investments
  • Language: en
  • Pages: 592

Global Investments

  • Type: Book
  • -
  • Published: 2013-08-01
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  • Publisher: Unknown

Global Investments, the Sixth Edition of the previously titled International Investments, provides accessible coverage of international capital markets using numerous examples to illustrate the applications of concepts and theories. The new title reflects the current understanding that the distinction between domestic and international is no longer relevant and that asset management is global. This book is ideal for CFA(r) (Chartered Financial Analyst) candidates, advanced finance undergraduates, and MBA students, and it has been selected by the CFA Institute as part of the curriculum to deliver the Candidate Body of Knowledge for the CFA. The text is also widely used by professionals working in the investments area, as the level is accessible to students and portfolio managers without recent training in portfolio theory.

Extreme Correlation of International Equity Markets
  • Language: en
  • Pages: 44

Extreme Correlation of International Equity Markets

  • Type: Book
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  • Published: 2000
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  • Publisher: Unknown

None

International Finance
  • Language: en
  • Pages: 606

International Finance

  • Type: Book
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  • Published: 2007-05-07
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  • Publisher: Routledge

In this updated fourth edition, author Maurice Levi successfully integrates both the micro and macro aspects of international finance. He sucessfully explores managerial issues and focuses on problems arising from financial trading relations between nations, whilst covering key topics such as: * organization of foreign exchange markets * determination of exchange rates * the fundamental principles of international finance * foreign exchange risk and exposure * fixed and flexible exchange rates. This impressive new edition builds and improves upon the popular style and structure of the original. With new data, improved pedagogy, and coverage of all of the main developments in international finance over the last few years, this book will prove essential reading for students of economics and business.

Multinational Financial Management
  • Language: en
  • Pages: 677

Multinational Financial Management

Provides a conceptual framework for analyzing key financial decisions of multinational firms Now in its twelfth edition, Multinational Financial Management provides a comprehensive and up-to-date survey of all essential areas of the international financial market environment, including the determination of the cost of capital for international projects, capital budgeting, financial structure, transfer pricing, risk management, and portfolio investment. Written with the large multinational corporation in mind, this leading textbook offers a wealth of numerical and institutional examples that demonstrate the use of financial analysis and reasoning to solve complex international financial probl...

The Theory of Multinational Enterprises
  • Language: en
  • Pages: 320

The Theory of Multinational Enterprises

The articles in this volume explore aspects of multinational enterprises & apply the theory of internalization to North America, Europe & Japan. Rugman provides the reader with insights into the intellectual & personal history of the papers.

Investment and Risk in Africa
  • Language: en
  • Pages: 391

Investment and Risk in Africa

  • Type: Book
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  • Published: 2016-07-27
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  • Publisher: Springer

This book brings together academics in the fields of economics, political science, and law, with business practitioners in the fields of risk assessment and portfolio management. Their contributions are sequenced to tell a story. Africa is perceived as being a highly risky continent. As a result, investment is discouraged. These risks are partly exaggerated. However, to the extent that they reflect genuine problems, they are capable of being mitigated by insurance and reduced by political restraints such as central banks, investment charters, and international agreements.

The Global Structure of Financial Markets
  • Language: en
  • Pages: 464

The Global Structure of Financial Markets

Good range of (primarily US)contributors Excellent subject given increasing global financial interdependence Dilip Ghosh is well-known and respected - has also published in several journals