
As an Amazon Associate and affiliate partner, Menrva Books earns from qualifying purchases. Learn more
This text approaches multinational business finance from a management point of view, giving students both the theoretical foundation and practical knowledge of understanding and managing a multinational firm. Features new to this edition include: a chapter on interest rate management, detailing the theory of interest rate risk, its measures, financial instruments used in its management and industry practices; six case studies to show real-world applications and issues on current multinational financial topics; and sections on sourcing equity for the multinational firm, detailing the significance of expanding international equity listings and issuances by multinational firms.
This text investigates the core question of how multinational firms can effectively manage financial operations within a complex, globalized economic environment. David K. Eiteman, a recognized authority in international finance, provides a comprehensive framework that bridges theoretical economic principles with the practical realities of corporate management. The book utilizes a combination of financial theory, industry-standard practices, and real-world case studies to equip students and professionals with the tools necessary for navigating international markets.
What You Will Find
Experts and educators frequently cite this work as a foundational text for understanding the complexities of global corporate finance. Readers often note the academic rigor of the prose, which balances technical financial theory with actionable management strategies.
Page Count:
700
Publication Date:
1989-01-01
Publisher:
Addison-Wesley
ISBN-10:
0201193272
ISBN-13:
9780201193275
No comments yet. Be the first to share your thoughts!