教學目標:
1.探討國際金融環境與制度之現況
2.了解匯率如何決定、匯率市場與匯率預測
3.如何因應與管理所面臨的外匯、經濟與會計等風險
4.了解國際金融市場以及各種國際融資工具
5.如何制訂國際投資決策與融資等政策Teaching objectives:
1. Explore the current situation of international financial environment and systems
2. Understand how to determine the exchange rate, the exchange rate market and exchange rate forecast
3. How to deal with and manage the risks faced by foreign exchange, economy and conferences
4. Understand the international financial market and various international financing tools
5. How to formulate policies such as international investment decisions and financing
教科書:Jeff Madura, International Financial Management,2018,第13版(華泰書局代理)
參考書:黃志典, 國際財務管理概論, 2019年第四版, 華泰書局
Textbook: Jeff Madura, International Financial Management, 2018, 13th edition (Agent from Huatai Books Bureau)
Reference books: Huang Zhidian, Overview of International Financial Management, 2019 Fourth Edition, Huatai Book Bureau
評分項目 Grading Method | 配分比例 Grading percentage | 說明 Description |
---|---|---|
期中考期中考 Midterm exam |
20 | |
期末考期末考 Final exam |
20 | |
期末報告期末報告 Final report |
20 | |
平時成績(小考、個案討論、課堂參與等)平時成績(小考、個案討論、課堂參與等) Normal results (small exams, case discussions, class participation, etc.) |
30 |