A focused, streamlined approach to implementing an effective global financial management strategy.
Tomorrow’s business leaders will be expected to comprehend global markets and lead their organizations through a constantly changing global environment. By grounding concepts in the context of illuminating case studies and real-world examples, Fundamentals of Multinational Finance familiarizes readers with the fundamental concepts and tools necessary to implement an effective global financial management strategy.
This edition includes the many new financial management challenges faced by today’s business leaders–while still providing readers with a streamlined text that gets straight to the important concepts.
"synopsis" may belong to another edition of this title.
Michael H. Moffett is an associate professor of finance at Thunderbird, the Garvin Graduate School of International Management. He received a BA in economics from the University of Texas at Austin, an MS in resource economics from Colorado State University, and an MA and a PhD in economics from the University of Colorado, Boulder.
In addition to teaching, Moffett has authored, coauthored, or contributed to six books and fifteen other publications. Some of the publications his articles have appeared in include the Journal of Financial and Quantitative Analysis, the Journal of Applied Corporate Finance, and the Journal of International Money and Finance.
Arthur I. Stonehill is an emeritus professor of finance and international business at Oregon State University, where he taught for twenty-four years. After receiving his PhD in business administration from the University of California, Berkeley, he was awarded honorary doctorates from the Aarhus School of Business and the Copenhagen Business School in Denmark, and from Lund University in Sweden.
Stonehill has also authored or coauthored nine books and twenty-five other publications. His articles have appeared in numerous publications including Financial Management, the Journal of International Business Studies, and California Management Review.
David K. Eiteman is an emeritus professor of finance at the John E. Anderson Graduate School of Management at UCLA. He received his PhD in finance from Northwestern University and is a former president of the International Trade and Finance Association, Society for Economics and Management in China, and the Western Finance Association.
Besides teaching, Eiteman has also authored or coauthored four books and twenty-nine other publications. His articles have appeared in various publications such as the Journal of Finance, the International Trade Journal, and the Financial Analysts Journal.
"About this title" may belong to another edition of this title.
Book Description Softcover. Book Condition: New. BRAND NEW US edition / FREE UPGRADE to FedEx, UPS or Priority Mail / receive your book within 1-4 business days! / [clean wrapped, well protected] [Authentic edition exactly the same as the Official Listing] [ships within 1 business day] / Free tracking number / Genuine US Bookstore! Get your book in perfect condition! We also ship international via FedEx, UPS, or USPS Express!. Bookseller Inventory # ATGR5GT20132829916
Book Description Pearson Educacion, 2011. Paperback. Book Condition: New. book. Bookseller Inventory # 0132829916
Book Description Pearson Educacion, 2011. Paperback. Book Condition: New. Bookseller Inventory # P110132829916
Book Description 2011. Soft cover. Book Condition: New. Ship out 1 business day,Brand new, Free tracking number usually 2-4 biz days delivery to worldwide Same shipping fee with US, Canada,Europe country, Australia, item will ship out from either LA or Asia n. Bookseller Inventory # ABE-11386297182