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With tariff disputes, ethical concerns and digital currencies
dominating the news, international finance continues to engage
national debate. As globalization expands, organizations must not
only manage the advantages that ensue but also their exposure to
risk. Now in its sixth edition, International Financial Management
offers students a comprehensive introduction to this fast-moving
field. Up-to-date real-world examples, critical debate questions
and project workshop activities equip students with the essential
knowledge they need to succeed in international finance. This
textbook is suitable for final-year undergraduate as well as
master's level courses in international financial management. This
title is available with MindTap, a flexible online learning
solution that provides your students with all the tools they need
to succeed, including an interactive eReader, engaging multimedia,
practice questions, assessment materials, revision aids and
analytics to help you track their progress.
Gain the solid understanding of theory and practical insights you
need for success in international finance today with Madura's
best-selling INTERNATIONAL FINANCIAL MANAGEMENT, 14E. This
reader-friendly approach builds on the fundamental principles of
corporate finance to provide timely information and an
understanding of managerial topics in a global environment
necessary to prosper in international business. Clear explanations
help you fully understand the important role of multinational
corporations in global commerce. New content explores tradeoffs in
international trade policies, the realities behind popular
theories, multinational capital budgeting, barriers to entry in
international markets, and the most recent changes internationally.
Numerous examples, self-tests, and hands-on exercises work with new
MindTap online learning resources, including Excel Online practice
and Aplia homework tools, to help you develop the skills and
understanding necessary in international finance.
Develop a clear understanding of why financial markets exist, how
financial institutions serve these markets, and what services those
institutions offer with Madura's best-selling FINANCIAL MARKETS AND
INSTITUTIONS, 13E. Packed with today's real examples and practical
applications, this engaging edition clarifies the management,
performance, and regulatory aspects of financial institutions. You
explore the functions of the Federal Reserve System and its recent
changes, major debt and equity security markets, and the derivative
security markets. Expanded coverage now discusses stock valuation,
market microstructure strategies, and liquidity in today's
financial markets. In addition, new content explains popular
sources of funding, such as crowdfunding. Real examples connect
concepts to today's financial trends as online resources in MindTap
digital learning solution highlight Excel Online, an integrated
eBook, Aplia homework tools, and resources for strengthening your
understanding.
Everything investors who skipped accounting class need to know to spot--and steer clear of--companies whose numbers dont add up Individual investors today are painfully aware that accounting fraud is more widespread than ever, yet often they arent sure what this fraud looks like or even where to look. What Every Investor Needs to Know About Accounting Fraud explains common accounting maneuvers, distortions, and outright deceptions that savvy investors must be able to recognize and steer clear of, all in a concise, easy-to-understand format. Professor Jeff Madura has created a book that is both accessible and informative, and doesnt talk down to the reader. Concise yet complete, it provides investors with:
- Methods for uncovering scams that distort revenues, hide expenses, and more
- Studies of infamous accounting frauds and how they could have been avoided
- A zero-tolerance investing code, useful for protecting portfolios
Mercados e instituciones financieras describe los mercados y las
instituciones financieras proporciona un marco conceptual que
permite comprender por qué existen los mercados financieros. A lo
largo de los capítulos se analizan numerosos conceptos
relacionados con los acontecimientos recientes y las tendencias
actuales en dichos mercados.
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