International Finance 6th Edition
暫譯: 國際金融 第六版

Levi, Maurice D.

  • 出版商: Routledge
  • 出版日期: 2026-01-05
  • 售價: $2,840
  • 貴賓價: 9.5$2,698
  • 語言: 英文
  • 頁數: 624
  • 裝訂: Quality Paper - also called trade paper
  • ISBN: 113878673X
  • ISBN-13: 9781138786738
  • 相關分類: 大數據 Big-data經濟學 Economy雲端運算
  • 尚未上市,無法訂購

相關主題

商品描述

The sixth edition of Maurice D. Levi's classic textbook continues to offer the most authoritative survey of international finance currently available. Key features of the book include:

  • Assesses the impact of globalization and the greater connectedness of national economies and the world economy as a whole.
  • Its introduction to exchange rates is probably the best that is currently available, discussing how they directly impact upon firms as well as governments.
  • Comprehensive assessment of the continued massive impact of multinational corporations on the global financial scene as well as the opportunities presented by e-commerce.
  • Strong coverage of emerging markets, particularly the rise to financial prominence of China and India and other growth economies in Asia and elsewhere.

Whilst updating the reader on all key developments in international finance, such as the Eurozone crisis and the manipulation of LIBOR rates, the book also includes a wealth of supplementary material including real world case studies, review questions, examples and objectives. This pedagogical material has been increased for the new edition, which will also offer for the first time comprehensive supporting web materials including both student and instructor resources.

Thoroughly updated and with a large amount of new information, this text will prove an indispensable guide to the inner workings of international finance to students of economics and business as well as professionals in the finance industry.

商品描述(中文翻譯)

莫里斯·D·萊維(Maurice D. Levi)經典教科書的第六版繼續提供當前最具權威性的國際金融概述。該書的主要特點包括:

- 評估全球化及國家經濟與全球經濟整體之間更大連結性的影響。

- 對匯率的介紹可能是目前最好的,討論了匯率如何直接影響企業和政府。

- 全面評估跨國公司對全球金融場景持續巨大的影響,以及電子商務所帶來的機會。

- 強調新興市場,特別是中國和印度以及其他亞洲及其他地區增長型經濟體在金融上的崛起。

在更新讀者有關國際金融的所有關鍵發展(如歐元區危機和LIBOR利率操縱)的同時,該書還包括大量補充材料,包括現實案例研究、回顧問題、範例和學習目標。這些教學材料在新版本中有所增加,並將首次提供全面的支持性網絡材料,包括學生和教師資源。

這本書經過徹底更新,並包含大量新資訊,將成為經濟學和商業學生以及金融業專業人士了解國際金融內部運作的不可或缺的指南。

作者簡介

Maurice D. Levi is Bank of Montreal Professor of International Finance in the Sauder School of Business at the University of British Columbia, Canada.

作者簡介(中文翻譯)

Maurice D. Levi

是加拿大不列顛哥倫比亞大學薩德商學院的蒙特利爾銀行國際金融教授。