Abstract
The subject aims to develop an understanding of a representative range of issues in international finance and global financial markets. It covers topics such as spot and forward exchange rates, interest rate parity, currency hedging and exchange rate forecasting techniques. It focuses on the internationalisation of markets, global financial crisis … For more content click the Read More button below.
Syllabus
the interntional monetary system;the foreign exchange market;measuring and managing transaction exposure;measuring and managing operating exposure;the determinants of exchange rates;international debt and equity markets;interest rate risk management and currency;foreign investment theory;multinational capital budgeting; andcorporate governance in a globalised world
Assumed knowledge
(FIN211 or FIN210) and (FIN230 or ECO320)