Fundamentals of International Financial Management

Author:   S. Kevin
Publisher:   PHI Learning
ISBN:  

9788120337916


Pages:   272
Publication Date:   30 June 2012
Format:   Paperback
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

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Fundamentals of International Financial Management


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Overview

This concise and compact text explains, with great precision and clarity, the basic concepts, theories and practices of international business. The text is so significant because, in today's modern globalised economic environment, international transactions form an integral part of economic activities. Businesses today are no more confined to national boundaries and have become truly international. Any budding or practising manager, especially of big companies, needs to know the fundamentals of international finance. And this book, written by Professor S. Kevin, who has a rich and long experience in teaching international finance, eminently fulfils this need. The book begins with an explanation of the exchange rate mechanism of foreign currencies, factors influencing exchange rate fluctuations, and the trading mechanism in foreign exchange markets. As currency forwards, futures, options and swaps are the instruments of currency derivatives used as hedging and speculative tools, the book goes on to give a detailed description of the use of currency derivatives for hedging as well as speculative functions. It concludes with an analysis of international financial institutions and their functioning, the participants and instruments of global financial markets where international funds are raised, the many uses of international funds in the form of portfolio investments, and direct investments in host countries. The book is primarily intended as a text for postgraduate students of commerce and management, chartered accountancy (CA) and chartered financial analysis (CFA). It would also be of immense value to practising professionals in the field of international finance. Key Features: Illustrates the concepts with the help of examples, figures and tables. Clearly explains risk management tools and techniques. Discusses the role of international financial institutions in the global financial market. Is a handy text for self-study.

Full Product Details

Author:   S. Kevin
Publisher:   PHI Learning
Imprint:   PHI Learning
Dimensions:   Width: 16.00cm , Height: 2.00cm , Length: 24.00cm
Weight:   0.456kg
ISBN:  

9788120337916


ISBN 10:   8120337913
Pages:   272
Publication Date:   30 June 2012
Audience:   College/higher education ,  Professional and scholarly ,  Undergraduate ,  Postgraduate, Research & Scholarly
Format:   Paperback
Publisher's Status:   Active
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

Table of Contents

Contents: Preface 1. International Finance 2. Foreign Exchange 3. Factors Influencing Exchange Rates 4. Foreign Exchange Market 5. Currency Forwards 6. Currency Futures 7. Currency Options 8. Financial Swaps 9. Foreign Exchange Risk 10. Management of Foreign Exchange Exposure and Risk 11. Foreign Exchange Regime in India 12. International Monetary System 13. Multilateral Development Banks 14. Balance of Payments 15. Foreign Direct Investment 16. Foreign Portfolio Investment 17. International Financial Markets Index

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Author Information

S. Kevin, Ph.D., is Director, TKM Institute of Management, Kollam, Kerala. Earlier, he was Pro-Vice-Chancellor and Professor of Commerce at the University of Kerala. He has more than thirty years of teaching experience in commerce and management studies at the postgraduate level. Professor Kevin has published several research articles in scholarly journals such as Finance India, Economic and Political Weekly of India, Productivity, Yojana, International Journal of Management and Systems, Decision, etc. His areas of specialisation are financial management, security analysis and portfolio management, international finance and commodity, and financial derivatives.

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