Financial constraints of the international environment and their effect on the standard concepts of financial management. The techniques of adapting risk analysis to the international situation. Study ...
These readings are not part of the exam material. C. Eun, B. Resnick and T. Chuluun (2021), International Financial Management, 9th edition; Sercu, P (2020), International Finance, Princeton ...
Students must have completed either: Asset Markets (FM423 or FM423E) and Corporate Finance (FM422 or FM422E); or Financial Economics (FM436); or Management and Regulation of Risk (FM403). Following an ...
and manager of international banking. Candidates for financial management positions need many different skills. Interpersonal skills are key because these jobs involve managing people and working as ...
Draghi, Mario, Francesco Giavazzi, and Robert C. Merton. "Transparency, Risk Management and International Financial Fragility." Harvard Business School Working Paper ...