International Money and Finance

International Money and Finance

Melvin, Michael; Norrbin, Stefan C.

Elsevier Science & Technology

12/2022

304

Mole

Inglês

9780323906210

15 a 20 dias

500

Descrição não disponível.
Part I: The International Monetary Environment
1. The Foreign Exchange Market
2. International Monetary Arrangements
3. The Balance of Payments

Part II: International Parity Conditions
4. Forward-Looking Market Instruments
5. Eurocurrency Markets and the LIBOR
6. Exchange Rates, Interest Rates, and Interest Parity
7. Prices, Exchange Rates, and Purchasing Power Parity

Part III: Risk and International Capital Flows
8. Foreign Exchange Risk and Forecasting
9. Financial Management of the Multinational Firm
10. International Investment
11. International Lending and Crises

Part IV: Modeling the Exchange Rate and Balance of Payments
12. Determinants of the Balance of Trade
13. The IS-LM-BP Approach
14. The Monetary Approach
15. Extensions and Challenges to the Monetary Approach
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Absolute purchasing power parity; Absorption approach to balance of trade; Adjusted present value (APV); American depositary receipts; Approximate covered interest rate parity; Arbitrage; Arm's-length pricing; financial crisis; Asymmetric information; Balance of payments; Balance of payments equilibrium; Balance of trade; Balance sheet translation; Bank syndicates; Base money; Bid/offer spread; Big Mac index; Bill of lading; BlackRock Sovereign Risk Index; Bretton Woods agreement; Call options; Capital flight; Closed economy; Commodity-backed currency; Cost of capital; Country risk analysis; Covered interest rate arbitrage; Credit default swap; Currency arbitrage; Currency board; Currency contract period; Currency cross rate; Currency devaluation; Currency futures; Currency substitution; Currency swap; Current account; Direct foreign investment; Diversification; Dollarization; Effective return on investment; Elasticities approach to balance of trade; Equilibrium approach to exchange rates; Eurobanks; Eurocurrency market; Eurodollar market; Exact interest rate parity; Exchange rate; Exchange rate forecasting; Exchange rate movement; Exchange risk exposure; Expected exchange rate; FDI; Financial theory; Fiscal policy; Fisher effect; Fisher equation; Fixed exchange rate; Floating exchange rate; Foreign debt; Foreign exchange; Foreign exchange market; Foreign exchange risk; Foreign exchange risk premium; Foreign exchange swap; Forward discount; Forward markets; Forward premium; Futures market; Global depositary receipts; Globalized equity market; Gold standard; Great Recession; Greek debt crisis; IBF; IMF conditionality; IS-LM-BP diagram; Import transactions; In-the-money; Interest rate parity; International Monetary Fund (IMF); International banking; International capital flow; International financial management; International investment; International lending; International reserve currencies; Intrafirm fund transfers; Inventory control; Irrevocable letter of credit; J curve; LIBOR; Letter of credit (LOC); Liquid asset; MAER model; Macroeconomics; Market efficiency; Marshall-Lerner condition; Monetary approach to balance of payments; Monetary approach to exchange rates