040178 VK International Financial Management 2 (2017S)
Prüfungsimmanente Lehrveranstaltung
Labels
An/Abmeldung
Hinweis: Ihr Anmeldezeitpunkt innerhalb der Frist hat keine Auswirkungen auf die Platzvergabe (kein "first come, first served").
- Anmeldung von Mi 15.02.2017 09:00 bis Mi 22.02.2017 12:00
- Abmeldung bis Di 14.03.2017 23:59
Details
max. 50 Teilnehmer*innen
Sprache: Englisch
Lehrende
Termine (iCal) - nächster Termin ist mit N markiert
- Dienstag 09.05. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
- Donnerstag 18.05. 13:15 - 16:00 Seminarraum 5 Oskar-Morgenstern-Platz 1 1.Stock
- Dienstag 23.05. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
- Dienstag 30.05. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
- Dienstag 13.06. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
- Dienstag 20.06. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
- Dienstag 27.06. 09:45 - 13:00 Hörsaal 17 Oskar-Morgenstern-Platz 1 2.Stock
Information
Ziele, Inhalte und Methode der Lehrveranstaltung
This course presents the corporate uses of international financial markets. We will focus on the measurement and management of financial exposure to risk, as well as we will discuss the opportunities to long-term financing and investing offered by international capital markets. This single module follows International Financial Management I.This course is based on 3 hours of lectures and seminars a week. The theoretical contents will be developed in the first part of the lecture, while the remaining time will be dedicated to exercises and case studies.
Art der Leistungskontrolle und erlaubte Hilfsmittel
Assessment consists of a 1h-midtest (30th May) and a final exam (27th June). They count respectively for 40% and 50% of the final grade. The remaining 10% will be assigned according to homework and active participation in class.
Mindestanforderungen und Beurteilungsmaßstab
A successful grade in International Financial Management I is pre-requisite to attend International Financial Management II.
Prüfungsstoff
Topics covered
1. Forecasting Exchange Rates
2. Measuring exposure to Exchange Rates fluctuations
3. Hedging exposure to Exchange Rates fluctuations
4. Long term financing and international capital markets
5. Foreign Direct Investment and country risk
6. International Capital Budgeting
1. Forecasting Exchange Rates
2. Measuring exposure to Exchange Rates fluctuations
3. Hedging exposure to Exchange Rates fluctuations
4. Long term financing and international capital markets
5. Foreign Direct Investment and country risk
6. International Capital Budgeting
Literatur
Required textbook:
- Sercu P., 2009, International Finance. Theory in Practise. PrincetonOptional extra readings:
- Eun, Resnick, and Sabherwal, International Finance, Mc Graw Hill.
- Madura and Fox, International Financial Management, South-Western Cengage
- Sercu P., 2009, International Finance. Theory in Practise. PrincetonOptional extra readings:
- Eun, Resnick, and Sabherwal, International Finance, Mc Graw Hill.
- Madura and Fox, International Financial Management, South-Western Cengage
Zuordnung im Vorlesungsverzeichnis
Letzte Änderung: Mo 07.09.2020 15:28