International Financial Management (McGraw-Hill/Irwin Series in Finance, Insurance, and Real Est)
Average customer rating: 3.5 out of 5 stars
  • Useless!!!
  • The most disgusting textbook I ever read!
  • Finance in Practice
  • Boring
  • Step-by-step guide from the master
International Financial Management (McGraw-Hill/Irwin Series in Finance, Insurance, and Real Est)
Cheol Eun , and Bruce G. Resnick
Manufacturer: McGraw-Hill/Irwin
ProductGroup: Book
Binding: Hardcover

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ASIN: 0072996862

Book Description

International Financial Management combines the fundamental concepts of international finance with solid practical applications. This combination has made it the book of choice at a variety of institutions, including top business schools such as Wharton, Stanford, Northwestern, and INSEAD. Neither superficial nor overly theoretical, Eun and Resnick's approach offers a conceptually solid, yet still relevant, treatment of international financial topics that puts students on the right track to becoming effective global financial managers.

Customer Reviews:

1 out of 5 stars Useless!!!.......2007-04-11

First and foremost, all the previous 7 reviews are not for this "Cram 101 Textbook Outlines". It's a shame that Amazon used the reviews for textbook itself without verifying the contents of the totally different "Cram 101 Textbook Outlines".

So disregard the previous 7 reviews and let's talk about this "Cram 101 Textbook Outlines".

This is supposed to be a companion book for a textbook published by McGraw-Hills Irvin, "International Financial Management" 3rd edition by Eun and Resnick.

However, this "Cram 101 Textbook Outlines" is useless!!! This is nothing but a bunch of glossary. And a half of the book is blank for writing notes. What a rip-off!!!
There's no outlines at all. No chapter summaries, no explanation of concepts. Totally useless.

I have used "Collins College Outlines" series (I rate them 3 stars) and "Barron's Business Reviews" series (I rate them 5 stars).

Never buy any of "Cram 101 Textbook Outlines" series.

Extra notes: textbook "International Financial Management" is now 4th edition. Another reason why this "Cram 101 Textbook Outlines" is useless.

Technical notes: "Cram 101 Textbook Outlines" is POD (Print on demand). No wonder quality of printing is inferior (Looks like a Xerox copy). And priced too high for this quality. For those who are not familiar with publishing industry--POD is used for ultra small quantity less than 100 copies. This is a telltale sign that book is not expected to sell minimum quantity (usually 3,000 copies) that commercial publisher is willing to commit to publish. Simply put, POD means inferior and overpriced books. A work of amateur.

1 out of 5 stars The most disgusting textbook I ever read!.......2006-12-12

This is the most disgusting book I have ever read.
This not actually a textbook, but a bunch of statistical data. Authors even do not try to teach you, what they try is to make you familiar with techniques and tools used in the world. Yes, they do provide you with some simple examples, but do not teach you how to apply. They try to be concise, instead of being concise, they just ommit a lot of information and provide book references for you to search on your own.

If you want to get familiar with the most modern financial tools, you can buy it, but if your goal is to learn, get a profound understanding of concepts, train yourself, then look for another option.

The authors, from my point of view, just scholars, who do know a lot, but unfortunately, cannot teach and explain.

The book lacks exercises. There are some, but do not pretend to master swaps or hedging doing them. Book is just a statistical summary on current situation in financial markets, some theories, which of little value for a real job and that is all.

Do not pay for it, unless you are Warren Buffet. :))

4 out of 5 stars Finance in Practice.......2006-11-10

The approach this book has on the International Finance topic is good. Some chapters have more theory than others which might be confusing for someone without a business background. However, the examples provided are excellent.

1 out of 5 stars Boring.......2006-02-23

Wow...This book was boring and confusing. I got it for my international finance class and it is just really hard to follow. It was a waste of money.

5 out of 5 stars Step-by-step guide from the master.......2002-03-10

This book set me up very nicely for a career in forex markets. Possibly the gentlest introduction to international finance, the book does not waste any time with implementation of the ideas, instead provides you with the requisite knowledge, and illustrative examples. I had the fortune of being taught the subject by the author (Dr. Eun), and so the book was fully utilized. However, other teachers would also find the book an ideal companion to course notes. In fact, the book is so well written, it seems like a tutorial. You cannot go wrong if you are using it for international finance courses. The book will also help you with preparation for the CFA charter examinations.
International Financial Management
Average customer rating: 5 out of 5 stars
  • Good Book
  • International Financial Management (with Xtra!, World Map, and InfoTrac)
  • Great Book
  • Worth it
  • Excellent for International Business!
International Financial Management
Jeff Madura
Manufacturer: South-Western College Pub
ProductGroup: Book
Binding: Hardcover

InternationalInternational | Economics | Business & Investing | Subjects | Books
GeneralGeneral | Business & Investing | Subjects | Books
InternationalInternational | Accounting | Industries & Professions | Business & Investing | Subjects | Books
ManagementManagement | Management & Leadership | Business & Investing | Subjects | Books
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ASIN: 032416551X

Book Description

International Financial Management, 7e combines a strong foundation in international finance theory with current, practical applications. It provides thorough, up-to-date treatment of cutting-edge international finance issues along with traditional treatment of international financial management. This book is known for its readability and clear explanation as well as its extensive use of hands-on, real world applications and student-oriented pedagogy.

Customer Reviews:

5 out of 5 stars Good Book.......2007-10-17

I bought this book to use in an undergraduate business class (International Finance)

Two of my teachers have commented on the fact that it is primarily used for graduate courses, however the concepts are explained clearly enough for a undergraduate to understand.

4 out of 5 stars International Financial Management (with Xtra!, World Map, and InfoTrac).......2005-09-26

I recibed the Instructor's edition book, but there is a note in the back cover of the text:"NOT FOR SALE EDITION" and I paid for it $128 USD. I hope will exist more retailer`s control.

5 out of 5 stars Great Book.......2005-09-12

The Book arrived on time, and was brand new just as stated.

5 out of 5 stars Worth it.......2005-05-17

I have had many textbooks over the years and this is one of the best I have had. Some textbooks I have not even bothered to read but this one clearly explained the concepts it presented and was a great addition to my instructor's lectures. It gave a lot of real life examples in order to show applicablility and I actually didn't mind reading the chapters. The key learning objectives were really good as well as the questions at the end in order to meet educational needs. The online tools available with this book were also essential to passing exams with good grades. It was worth having to buy for my class.

5 out of 5 stars Excellent for International Business!.......2003-04-24

The book was one of the best books I used throughtout my career, it's good for economist, finance people, and anybody who is in the international field in general.
Managing Risk in the Foreign Exchange, Money and Derivative Markets
Average customer rating: Not rated
    Managing Risk in the Foreign Exchange, Money and Derivative Markets
    Heinz Riehl
    Manufacturer: McGraw-Hill
    ProductGroup: Book
    Binding: Hardcover

    GeneralGeneral | Popular Economics | Business & Investing | Subjects | Books
    InternationalInternational | Economics | Business & Investing | Subjects | Books
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    ASIN: 0070526737

    Book Description

    A professional's guide to controlling risk when investing in the foreign exchange and money markets. Particular emphasis on the use of derivatives. The book offers a unique perspective combining coverage of all three areas.
    Mathematical Methods for Foreign Exchange: A Financial Engineer's Approach
    Average customer rating: 5 out of 5 stars
    • State of the Art
    • An excellent addition to any quants library
    • A Book That Was Long Overdue
    Mathematical Methods for Foreign Exchange: A Financial Engineer's Approach
    Alexander Lipton
    Manufacturer: World Scientific Publishing Company
    ProductGroup: Book
    Binding: Hardcover

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    ASIN: 9810246153

    Book Description

    This comprehensive book presents a systematic and practically oriented approach to mathematical modeling in finance, particularly in the foreign exchange context. It describes all the relevant aspects of financial engineering, including derivative pricing, in detail. The book is self-contained, with the necessary mathematical, economic, and trading background carefully explained. In addition to the lucid treatment of the standard material, it describes many original results.

    The book can be used both as a text for students of financial engineering, and as a basic reference for risk managers, traders, and academics.

    Customer Reviews:

    5 out of 5 stars State of the Art.......2003-01-11

    I own pretty much all of the books on quantitative finance
    and this one holds a cherished place on my bookshelf.
    Anybody either working as a quant or with aspirations to become one should dust off some space on their bookshelf as well.
    Anybody who does serious research in finance in either academia or industry already knows that it is somewhat rare for top researchers to pen books of any length. Time is at a premium and the payoff to publishing journal articles or to finishing off code is typically much greater than it is for writing books.

    This is what distinguishes this book from its competitors.
    The author is well known in financial circles as one of a handful of quants who is capable of meaningfully contributing new results to this fascinating field. The book contains many results which cannot be found elsewhere in the public domain.
    Although the book title suggests that the results apply only to
    foreign exchange, it is straightforward to adapt the results to

    equities, commodities, and many other underlyings.

    Wall Street is a very secretive place and it is not easy to get a glimpse of the kind of things that consume a quant's time.
    I suspect that the only reason that this book was able to come to light is due to the acquisition of Banker's Trust, the author's former employer. Banker's was well known to be a fertile training ground for the best derivative minds and this book should prove to be a lasting legacy to that view.

    5 out of 5 stars An excellent addition to any quants library.......2002-11-10

    Alexander Lipton Lifschitz has brought his extensive
    experience and years of research in the most diverse areas
    of applied mathematics as well as his experience
    in the financial industry to bear in authoring this
    very interesting book.

    The range of this book is impressive.
    Although the author chose to focus on currency
    options, his book really is a treatise on
    a wide spectrum of problems and methodologies
    which any quant wishing to tackle the
    sophisticated world of option pricing at a high level
    must master.

    The author demonstrates his mastery of
    the arsenal of the classic applied mathematician,
    asymptotic analysis, self-similarity, Laplace
    and Fourier transform, and uses these to give an
    incisive analysis of both standard topics
    such as American options and more exotic topics
    such as options on one currency with
    barriers on the other currency, passport
    options (for which he was a pioneer in developping
    pricing tools) , asian options and much much more.

    No, this is not as easy a read as Willmott's
    books. Willmott's books were and remain
    an important contribution with their
    quick and intuitive explanation of a variety
    of instruments. Lipton- Lifschitz's
    book is more challenging and the reader will
    have to pull up his sleeves on
    occasions where the author, while dealing
    with a case analogous to one just treated
    says " the details are left to the reader".
    But let's face it, if you work on Wall Street
    or nearby, you'll have to tackle those details
    alone at some point and Lipton-Lifschitz
    gives you all you need to know to do
    pull this off.

    And. last but not least, let's not forget the price. At less than 50$ thisbook is a real bargain and for a first
    printing, unusually free of typos or others
    errors.

    I highly recommend you buy this book now before the publisher
    doubles the price.

    5 out of 5 stars A Book That Was Long Overdue.......2002-05-14

    Most of the books on mathematical finance fall in one of the two domains. Some books are written for people who are new to the field and, as such, do not go deeply into the mathematical details that are crucial for implementing these methods in practice. The more advanced books are usually written by academic mathematicians and sometimes suffer from poor readability and lack of awareness of relevant problems. What many people are looking for is a detailed and readable description of how to apply the latest mathematical methods to solving the problems appearing in day-to-day work of derivatives desks. Such books are few and far between: that is why Alex Lipton's manuscript was so welcome.

    As a quant in one of the Wall Street investment banks, I found this book a very valuable resource. Though written on a fairly high level, this book remains a readable and consistent exposition of latest methods of foreign exchange modeling. I particularly appreciated that the author does not skip steps in his derivations and gives out all those little practical details that are so important to people planning to use these methods in their work. The range of topics covered is fairly wide, with main emphasis on derivative pricing. I found the two chapters on path-dependent options to be particularly interesting and extensive. Some of the results included in the book came out of author's original work at Deutsche Bank. I also had an impression that some of his latest work was not included in the book, which is a pity.

    All in all, an excellent book. Well worth the price.
    Foreign Exchange and Money Markets: Theory, Practice and Risk Management (Securities Institute Global Capital Markets)
    Average customer rating: Not rated
      Foreign Exchange and Money Markets: Theory, Practice and Risk Management (Securities Institute Global Capital Markets)
      Bob Steiner
      Manufacturer: Butterworth-Heinemann
      ProductGroup: Book
      Binding: Hardcover

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      InternationalInternational | Economics | Business & Investing | Subjects | Books
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      ASIN: 0750650257

      Book Description

      Floating rates, central-bank intervention, derivatives trading and the very high volumes of speculative and round-the-clock trading are just a few of the facets of the foreign exchange marketplace that make it a highly dynamic and volatile arena. This book addresses the practical applications of foreign currency trading and money market trading and provides comprehensive coverage of these markets.

      Coverage includes:

      * What the instruments are
      * How and why they are used - by both bank dealers and corporate end-users
      * How the different instruments are linked one to another
      * How you price them
      * Structure of the market, EMU etc
      * The range of risks arising from dealings in these instruments that affect banks and corporates
      * How these risks are measured and managed

      * Brings together a range of practical, relevant material on Foreign Exchange and money market trading.
      * Focuses on trading situations as well as on calculations
      * International in coverage, the concepts and methods covered are not restricted to any country or institution
      Vandal's Crown
      Average customer rating: 4.5 out of 5 stars
      • An Interesting and Enjoyable Read
      • Well Worth Reading.
      • A book everyone needs to read
      • A review of this Great Book.
      • adventures in currency trading
      Vandal's Crown
      Gregory J. Millman
      Manufacturer: Free Press
      ProductGroup: Book
      Binding: Hardcover

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      ASIN: 0029212871

      Customer Reviews:

      4 out of 5 stars An Interesting and Enjoyable Read.......2004-11-24

      Vandal's Crown is written with an easy and enjoyable style that makes a potentially difficult subject fascinating. You do not need a lot of prior knowledge about financial instruments to follow it as he clearly explains the basic hows and whys of each of them. Also, he interweaves relevant anecdotal text that has you smiling as you learn. My primary complaint is that the overall structure of the material makes it a bit difficult to see the themes of the book until you are well into the material. Despite this, I highly recommend it and will probably read it a second time.

      5 out of 5 stars Well Worth Reading........2004-08-26

      Read this well documented book if you are a currency trader and you want to learn a well researched history of currency markets. You'll have a better understanding of "behind closed doors" government intervention and what to watch for on the news. A little difficult to read at times due to its depth, but well worth it for the fundmental knowledge gained.

      5 out of 5 stars A book everyone needs to read.......2004-02-10

      Talk about a book that everyone should read, but no one will, this is it. A terrific, plain language explanation of the origins of money and how understanding money leads to political sophistication and concommitant societal benefits.

      This book makes many cogent arguments that deal with war and external defense, interior political and civil stabilty, the societal need for a stable currency, the need for a rule of law to protect private property rights, and the implications of the velocity and movements of global currency trading. It does a great job of explaning financial derivitives, options, inflation, debasement of the currency via political corruption, and financial globalization of trade and currencies.

      It contains a marvelous retelling of history thru the eyes of a currency sophisticate, one who incorporates a history of revolutions, and the subsequent rebuildings of the societies that gain prominence in their aftermath.

      The backdrop for this fascinating tale is the rise of the micro-chip, the story of the digital revolution. This running-wild tale illustrates how technology has outstripped the ability of dictators to throttle it, and how society has commensurately reaped the benefits. It's a paradigm for the future and deserves to be more widely understood. It has shaken up the strangle hold of one political philosophy ruling the media, and in the future it will reform tort law and academia. It's all here for those willing to study it.

      Read it!

      5 out of 5 stars A review of this Great Book........2001-08-10

      This book, although presenting complex concepts, is easy to understand through is storytelling type narrative. It talks very in an engaging and human manner of topics and concepts and written otherwise be considered too esoteric for the layman. This book is good if your interested in finance and trading, as well as the new financial weapons of traders that are (really) more powerful than politicians could ever be. I am probably biased, but the book is so good. It is even relevant today, even years after it was written. The book's analysis of past events, such as the reasons for the rocketing jump in Treasury bond yields in 1994 or the reasons behind the crash of the ERM are excellent.

      4 out of 5 stars adventures in currency trading.......2001-02-13

      I found this book difficult to follow at times. However, it was very informative about the history of currency and options trading. This is a very interesting history. A greek philosopher, a secret love affair which resulted in a duel to the death and extensive pilitical corruption all took part in this history. This political corruption involved governments inflating the value of their countrys currency. A few people realized what the government was up to. These people are the "Rebel Currency traders." This book is about their cause to take away the power of the government to set the value of their country's currency, and give the power to the international market. The book is worth reading.
      International Money and Foreign Exchange Markets: An Introduction
      Average customer rating: Not rated
        International Money and Foreign Exchange Markets: An Introduction
        Julian Walmsley
        Manufacturer: Wiley
        ProductGroup: Book
        Binding: Paperback

        GeneralGeneral | Popular Economics | Business & Investing | Subjects | Books
        InternationalInternational | Economics | Business & Investing | Subjects | Books
        Money & Monetary PolicyMoney & Monetary Policy | Economics | Business & Investing | Subjects | Books
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        ASIN: 0471953202

        Book Description

        Walmsley is a well-known financial author and a respected authority in international investing, trading and risk management. In this superb introductory text, he discusses the enormous changes which have occurred during the past few years in foreign exchange markets and the impact they will have on the manner in which international business will be conducted over the next decade. Includes comprehensive coverage of daily financial management and control issues.
        Foreign Exchange Markets: Currency Risk Management (Risk Management Series)
        Average customer rating: Not rated
          Foreign Exchange Markets: Currency Risk Management (Risk Management Series)

          Manufacturer: Global Professional Publishing
          ProductGroup: Book
          Binding: Hardcover

          GeneralGeneral | Popular Economics | Business & Investing | Subjects | Books
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          Foreign ExchangeForeign Exchange | Finance | Business & Investing | Subjects | Books
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          ASIN: 0852974337

          Book Description

          · Fully updated version of text formerly used for training by BPP
          · Diagrammatic representation of deal structures, pricing, and modeling
          · Full glossary of terms
          · International perspective, examples in US$
          · Clear logical explanation of processes, markets, and products

          From the Currency Risk Management section (6 titles) of the Risk Management series. International trade creates a need for buying, selling, or borrowing foreign currencies. This book describes the buying, selling, depositing, borrowing, and lending of foreign currency. It begins by explaining how the foreign exchange markets are structured and proceeds to examine spot transactions and forward exchange contracts. Finally it explains swaps transactions and short-dated forward transaction.

          This expansive new range of risk management texts has undergone extensive re-writing to give each book in the series an international perspective. Each explains and analyses core aspects of risk assessment and management in a way invaluable to students and useful to practitioners. All of these titles adopt a practical and clear approach to their subject. All are fully updated versions of a series of books previously produced by training experts at BPP.
          Interest Rate Risk Management (CIMA Research)
          Average customer rating: Not rated
            Interest Rate Risk Management (CIMA Research)
            Christine Helliar
            Manufacturer: CIMA Publishing
            ProductGroup: Book
            Binding: Paperback

            Corporate FinanceCorporate Finance | Finance | Business & Investing | Subjects | Books
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            ASIN: 075066598X

            Book Description

            Financial risk management is currently subject to much debate, especially the accounting for derivative products, and a number of commentators are objecting to the introduction of International Accounting Standard IAS 39 for Derivatives that will be in force by January 2005 for all EU companies. The topic of hedge accounting and the treatment of fair values may have a significant impact on many companies reported profits, and the volatility of earnings is likely to increase.

            Uniquely this monograph focuses on interest rate risk management. Most studies of corporate risk management have typically dwelt on the topic of management of exchange rate risk, with interest rate risk management being neglected. The books findings examine the views of UK corporate treasurers who are usually involved in the risk management strategies of their organisation and who have responsibility for implementing those strategies in practice.

            * The research is the first comprehensive UK study on this area
            * Relevant to the imminent arrival of IAS 39, the International Accounting Standard for Derivatives that will be in force by January 2005 for all EU companies.
            * The findings of the book have implications for government policy and regulators

            Download Description

            Financial risk management is currently subject to much debate, especially the accounting for derivative products, and a number of commentators are objecting to the introduction of International Accounting Standard IAS 39 for Derivatives that will be in force by January 2005 for all EU companies. The topic of hedge accounting and the treatment of fair values may have a significant impact on many companies reported profits, and the volatility of earnings is likely to increase. Uniquely this monograph focuses on interest rate risk management. Most studies of corporate risk management have typically dwelt on the topic of management of exchange rate risk, with interest rate risk management being neglected. The book's findings examine the views of UK corporate treasurers who are usually involved in the risk management strategies of their organisation and who have responsibility for implementing those strategies in practice.
            Accounting for Overseas Operations
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              Accounting for Overseas Operations
              C. A. Westwick
              Manufacturer: Gower Publishing Company
              ProductGroup: Book
              Binding: Hardcover

              GeneralGeneral | Business & Investing | Subjects | Books
              GeneralGeneral | Accounting | Industries & Professions | Business & Investing | Subjects | Books
              InternationalInternational | Accounting | Industries & Professions | Business & Investing | Subjects | Books
              GeneralGeneral | Accounting | Accounting & Finance | Professional & Technical | Subjects | Books
              ASIN: 0566025868

              Books:

              1. International Financial Management (McGraw-Hill/Irwin Series in Finance, Insurance, and Real Est)
              2. International Financial Markets and the Firm (Current Issues in Finance)
              3. Introduction to Management Accounting, Chap. 1-17 (13th Edition) (Charles T Horngren Series in Accounting)
              4. Introduction to Management Accounting, Chap. 1-17 (13th Edition) (Charles T Horngren Series in Accounting)
              5. Introduction to Management Accounting, Chap. 1-17 (13th Edition) (Charles T Horngren Series in Accounting)
              6. IT Portfolio Management: Unlocking the Business Value of Technology
              7. Keeping the Books: Basic Recordkeeping and Accounting for the Successful Small Business (Keeping the Books)
              8. Key Performance Indicators: Developing, Implementing,and Using Winning KPIs
              9. Land Development Calculations: Interactive Tools and Techniques for Site Planning, Analysis and Design
              10. Mastering Value at Risk: A Step-by-Step Guide to Understanding and Applying VAR (Market Editions)

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