International Financial Management 1st Edition
Jeff Madura | Ariful Hoque | Chandrasekhar Krishnamurti
ISBN-13: 9780170386135 | ISBN-10: 0170386139
© 2018 | Published |  808  Pages

Binding Format:

Paperback/Softcover Book/Jrnal
US $130.75
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Equip your students for success in international finance with the unrivalled depth of theory and practical applications presented in Madura's INTERNATIONAL FINANCIAL MANAGEMENT, Asia-Pacific 1st edition. This APAC edition builds on the fundamental principles of corporate finance to provide the timely information and contemporary insights your students need to prosper in today's global business environment. With the original US edition being well known for its inviting reader-friendly style and clear explanations, this APAC 1st edition introduces international finance with a focus on the important role of modern multinational corporations in global commerce within a strong APAC context. Using a strong corporate perspective, it discusses a wide range of managerial topics and emphasises the most recent changes in the international environment. Relevant examples, instructive diagrams, self-tests, and other learning features provide hands-on experience to help your students develop the skills they need to effectively manage in contemporary practice.

    1 Multinational financial management: An overview
    2 International flow of funds
    3 International financial markets
    4 Exchange rate systems and central bank intervention
    5 Exchange rate determination
    6 Relationships among inflation, interest rates and exchange rates
    7 International arbitrage and interest rate parity
    8 Currency derivatives
    9 Currency and interest rate swaps
    10 Forecasting exchange rates
    11 Measuring exposure to exchange rate fluctuations
    12 Managing transaction exposure
    13 Managing economic exposure and translation exposure
    14 Foreign direct investment
    15 Multinational capital budgeting
    16 Country risk analysis and international corporate governance 604
    17 International equity markets
    18 International debt markets
    19 International banking
    20 International banking in Australia
    21 Issues in cross-border banking

    • The only APAC International Financial Management book - written for an APAC audience from and APAC perspective.
    • Designed for teaching and learning: a strong pedagogy combined with the ideal level of resources and proven Madura content.
    • APAC data and APAC case studies for APAC learning, with a Table of Contents tailored specifically for APAC teaching.
    • Includes 3 new chapters: Swaps and Interest Rate Derivatives; Basics of International Banking; and Issues in Cross-border Banking.
    • New coverage of Islamic banking.
    • Three NEW chapters written specifically for the APAC edition: Chapter 9 Swaps and Interest Rate Derivatives; Chapter 19 Basics of International Banking; and Chapter 21 Issues in Cross-border Banking
    • NEW coverage of Islamic banking written specifically for the APAC edition.
    • EXPANDED coverage of the GFC and the European financial crisis.
    • REVISED table of contents to meet teaching and learning needs in the APAC finance
For more information about these supplements, or to obtain them, contact your Learning Consultant

  • Jeff Madura is Emeritus Professor of Finance at Florida Atlantic University. The recipient of multiple awards for excellence in teaching and research, Dr Madura has written several successful finance textbooks. His research on financial markets and institutions has been published in numerous journals, including Journal of Financial and Quantitative Analysis; Journal of Money, Credit and Banking; Financial Management; Journal of Financial Research; and Financial Review. Dr Madura has served as a consultant for international banks, securities firms and other multinational corporations. In addition, he is a former director of the Eastern Finance Association and a former director and president of the Southern Finance Association. He earned his BS and MA from Northern Illinois University and his DBA from Florida State University.

    Ariful joined the Murdoch Business School in February 2012. At present, he is Senior Lecturer of Finance and Associate Dean for Postgraduate Degrees. Previously he worked as Lecture of Finance for University of South Australia and University of Southern Queensland (USQ) in the School of Commerce and Faculty of Business, respectively. Prior to USQ, he was Assistant Professor and Chair in Banking and Finance discipline at University of Dubai; an AACSB accredited University. In November 2008, Curtin University of Technology conferred his Doctoral Award in Finance. His Bachelor’s degree is in Civil Engineering from the Bangladesh University of Engineering and Technology (BUET). He held different positions in the industry for thirteen years before commencing his academic career. He worked as Business Analyst/Programmer with quite a few well-reputed organisations, including St. George Bank (Australia) and Air New Zealand (New Zealand). He also served as Civil Engineer at several Multinational Construction Companies in Bangladesh.

    Dr Chandrasekhar Krishnamurti is the Professor, Head of Finance Discipline and Director of Research at the University of Southern Queensland. He also serves on the board of the Asian Finance Association. His research interests include corporate governance, market microstructure and corporate finance. Chandra has won several awards for his research and has published the edited volumes on Mergers and acquisitions, corporate restructuring, Advanced corporate finance, and Investment management. Chandra has consulted for industry and government and has organised and conducted executive courses in the areas of Investment Strategies, Derivative products, and Advanced Corporate Finance in India, Singapore and Australia.