The book presents all major subjects in international monetary theory,
foreign exchange markets, international financial management and investment analysis.
It is relevant to real world problems in the sense that it provides guidance on how to
solve policy issues as well as practical management tasks. This in turn helps the reader
to gain an understanding of the theory and refines the framework.
Various topics are interlinked so the book adopts a systematic treatment of
integrated materials relating different theories under various circumstances and combining
theory with practice. The text examines issues in international monetary policy and
financial management in a practical way, focusing on the identification of the factors and
players in foreign exchange markets and the international finance arena. The textbook can
be used in graduate and advanced undergraduate programmes in these areas.
The second edition incorporates two new chapters, integrating new materials, data, and
recent developments.
Peijie Wang is Professor of Finance at the University of Hull Business
School. He has taught and held visiting appointments at Southeast University, UMIST,
University of Manchester, Manchester Business School, IESEG School of Management, Catholic
University of Lille, Cass Business School, City University, University of Bradford and
University of Reading. Prof. Wang is author of several books and a regular contributor to
journals in the areas of international finance, real estate, finance and economics.
Table of Contents
| 1 |
Foreign exchange markets and foreign exchange rates |
1 |
| 2 |
Exchange rate regimes and international monetary systems |
17 |
| 3 |
International parity conditions |
31 |
| 4 |
Balance of payments and international investment positions |
59 |
| 5 |
Open economy macroeconomics |
85 |
| 6 |
The Mundell-Fleming model |
103 |
| 7 |
The flexible price monetary model |
131 |
| 8 |
The Dornbusch model |
149 |
| 9 |
Global derivatives markets |
173 |
| 10 |
Currency futures |
203 |
| 11 |
Currency options |
219 |
| 12 |
Currency swaps |
259 |
| 13 |
Transaction exposure |
273 |
| 14 |
Economic exposure and accounting exposure |
289 |
| 15 |
Country risk and sovereign risk analysis |
303 |
| 16 |
Foreign direct investment and international portfolio investment |
323 |
448 pages, Hardcover
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