本課程在探討跨國企業應該如何制訂「融資決策」與「投資決策」,並管理「匯率風險」,以有效達到跨國企業的經營目標.
本課程提供對於各種國際財務管理工具之實務與理論的全面性介紹與分析,對於日後欲從事國際匯兌與財務管理者提供之基礎課程,主要內容:國際金融運作的架構、即期、遠期、期貨及選擇權外匯市場的組織與功能, 外匯市場避險及投機操作的管道與機制;國際匯兌的管理及方法;長短期國際金融市場現狀與展望。This course explores how multinational enterprises should make "financing decisions" and "investment decisions" and manage "exchange rate risks" to effectively achieve the business goals of multinational enterprises.
This course provides a comprehensive introduction and analysis of the practice and theory of various international financial management tools. It is a basic course for those who want to engage in international exchange and financial managers in the future. The main content is: the structure of international financial operations, spot, forward, The organization and functions of the futures and options foreign exchange market, the channels and mechanisms for hedging and speculative operations in the foreign exchange market; the management and methods of international exchange; the current status and prospects of the long- and short-term international financial markets.
1.國際財務管理概論(3版) 作者: 黃志典
2.隨堂學習講義,廖國宏編著
1. Introduction to International Financial Management (3rd Edition) Author: Huang Zhidian
2. Lecture notes for in-class study, compiled by Liao Guohong
評分項目 Grading Method | 配分比例 Grading percentage | 說明 Description |
---|---|---|
期中與期末各50%期中與期末各50% 50% each for midterm and final |
100 |