TY - BOOK AU - AVADHANI, V A AU - V A AVADHANI TI - International Financial Management SN - 978-93-5262-349-5 U1 - 658.1599 AVA-I PY - 2009/// CY - New Delhi PB - Himalaya KW - International Financial Management N1 - Part 1 : Backdrop of International Financial Management 1. Introduction to International Financial Management 2. International Financial Environment 3. Goals and Growth of Multinationals 4. International Business Methods 5. Nature of International Risk Exposure 6. International Monetary System Part 2 : Management of Exchange and Interest Rate Exposure 7. Determination of Exchange Rates 8. Forecasting Exchange Rates 9. Balance of Payments (Equilibrium Vs. Disequilibrium) 10. International Trade Flows 11. Interest Rates Parity 12. International Fisher Effect - Parity Relations 13. Time Factor in International Risks Part 3 : Management of Risks in International Transactions 14. Foreign Exchange Markets 15. Government Influence on Exchange Rates 16. Exchange Rate Risk Management 17. Hedging in Derivative Markets (Futures and Options) 18. Hedging in Swap Market 19. Operational Exposure - Risk Management 20. Measurement of Politico Economic Risks (Country Risk Management) 21. Management of International Transactions Exposure Part 4 : Management of International Business Operations and Practices 22. Operational Strategies of MNCs 23. Management of Multinational Operations 24. Management of Global Business Practices 25. Nature of International Business Finance - Practices 26. Inter-Corporate Funds Flow 27. Sources of Funds for MNCs 28. Operations in International Financial Markets Part 5 : Management of Short-term International Financing 29. Short-term International Financing 30. Operations in International Money Market 31. Operations in Foreign Currency Markets 32. Management of Corporate Financing 33. conceptual Backdrop of Working Capital 34. Working Capital Management Part 6 : Management of Long-term International Finance 35. Project Appraisal and Capital Budgeting 36. International Capital Flows 37. Foreign Investment (Direct and Portfolio, GDR and ADRs) 38. Financing of Debt and Equity Investments (Through Global Markets) 39. Measurement of Portfolio Risk 40. Risk Management in Investments 41. Portfolio Diversification and Risk Reduction 42. Multinational Taxation Bibliography ER -