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Exchange rates and international finance

Contributor(s): Material type: TextTextLanguage: English Publication details: Pearson Education, 2014Edition: 6ª edDescription: xiv + 573 p. ; 24 cmISBN:
  • 9780273786047
Subject(s): Summary: Acclaimed for its clarity, Exchange Rates and International Finance provides an approachable guide to the causes and consequences of exchange rate fluctuations, enabling you to grasp the essentials of the theory and its relevance to these major events in currency markets. ; The orientation of the book remains towards exchange rate determination, with particular emphasis given to the contributions of modern finance theory. ; This sixth edition of this established text addresses the impact of the global financial crisis. ; ; New to this edition ; New chapter on Scapegoat Models ; Extended coverage on risk, global financial crisis, forecasting issues (Meese and Rogoff), factor models and the latest developments in the Eurozone ; Chapters re-ordered to improve structure and flow of topics ; Inclusion of FT articles and vignettes, illustrating real-world examples with accompanying questions ; Learning outcomes ; Updated reading guides ; Improved PowerPoint slides and 'bank of questions' for lecturers ;
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Item type Current library Call number Status Date due Barcode
Recommended bibliography book TBS Barcelona HG3821 COP (Browse shelf(Opens below)) Available B00716

Acclaimed for its clarity, Exchange Rates and International Finance provides an approachable guide to the causes and consequences of exchange rate fluctuations, enabling you to grasp the essentials of the theory and its relevance to these major events in currency markets. ; The orientation of the book remains towards exchange rate determination, with particular emphasis given to the contributions of modern finance theory. ; This sixth edition of this established text addresses the impact of the global financial crisis. ; ; New to this edition ; New chapter on Scapegoat Models ; Extended coverage on risk, global financial crisis, forecasting issues (Meese and Rogoff), factor models and the latest developments in the Eurozone ; Chapters re-ordered to improve structure and flow of topics ; Inclusion of FT articles and vignettes, illustrating real-world examples with accompanying questions ; Learning outcomes ; Updated reading guides ; Improved PowerPoint slides and 'bank of questions' for lecturers ;

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