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KOLB, Robert W

The international finance reader - 3 ed - Cambridge : Blackwell Publishers, 1995 - 429 p.

Section I: The environment of international finance The international monetary fund 50 years after Bretton Woods - Norman S. Fieleke Trade and growth: some recent evidence - Bharat Trehan Central bank independence and economic performance - Patricia S. Pollard Section II: International securities and derivatives markets Globalization of stock, futures, and options markets - Peter A. Abken Emerging markets: a framework for institutional investment - Leslie B. Kautz, Howard D. Perlow, and George Sands The development of stock markets in China - James R. Booth and Lena Chua Concepts and trends in derivative instruments: with international applications - Alfred Lewis and Anthony Nappo The design of trading systems: lessons from abroad - Roger D. Huang and Hans R. Stoll Section III: Foreign exchange systems and markets Microstructure theory and the foreign exchange market - Mark D. Flood The U.S. currency system: a historical perspective - Steven Russell Monetary union in Europe - Joseph A. Whitt, Jr The vulnerability of pegged exchange rates: the british pound in the ERM - Mathias Zurlinden Is the foreign exchange market inefficient? - Gregory P. Hopper Section IV: Managing international financial institutions Foreign competition in U.S. banking markets - Herbert L. Baer Deregulation and competition in japanese banking - Allen B. Frankel and Paul B. Morgan Japanese banks customers in the United States - Rama Seth and Alicia Quijano Banking and commerce: the japanese case - Sun Bae Kim Implications of netting arrangements for bank risk in foreign exchange transactions - R. Alton Gilbert Internation banking and country risk analysis - Alan C. Shapiro Section V: International investment and portfolio management International bond diversification - John L. Peta Synthetic international diversification - Philippe Jorion and Leonid Roisenberg Lessons for international asset allocation - Patrick Odier and Bruno Slnik International value and growth stock returns - Carlo Capaul, Ian Rowley, and William F. Sharpe Introduction to currency options - David F. DeRosa Section VI: International capital budgeting Strategic capital budgeting decisions and the theory of internalisation - Alan M. Rugman and Alain Verbeck Capital budgeting for international business: a framework for analysis - John Holland Political risk in international capital budgeting - Scott Goddard Cost of capital in capital budgeting for foreign - Marjorie T. Stanley Section VII: International financing and capital structure decisions Foreign owned companies in the United States: malign or benign? - Cletis C. Coughlin The cost of capital for securities firms in the United States and Japan - Robert N. McCauley and Steven A. Zimmer Capital and ownership structure: a comparison of United States and Japanese manufacturing corporations - W. Carl Kester Equity carve outs in Tokyo - Ted Fikre Capital structure among latin american companies - Raj Aggarwal and G. Baliga Japan's keiretsu and Korea's chaebol - Chan Guk Huh and Sum Bae Kim Section VIII: Foreign exchange risk management The nature and causes of foreign currency exposure - John J. Pringle and Robert A. Connolly Identifying, measuring, and hedging currency risk at merck - Judy C. Lewent and A. John Kearney Managing currency exposure: the case of western mining - Peter J. Maloney


Economia Financeira
Política Monetária
Globalização
Instituição Financeira Publica
Instituições Financeiras
Liberalização dos Mercados Financeiros
Mercado Financeiro Internacional
Banco Central
Sistemas Bancários
Comércio
Balanço de Pagamentos
Comércio Exterior
Financiamento
Teoria Monetária


America Latina
Coreia do Sul
Estados Unidos
Europa

Escola Nacional de Administração Pública

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