2 項進行中

115-1 選課時程

進行中

  • 初選第一階段 6/15 – 6/18
  • 初選第二階段 6/22 – 6/25
  • 校際選修 進行中 8/24 – 9/18
  • 初選第三階段 8/31 – 9/3
  • 開學後加退選 進行中 9/7 – 9/21
  • 逾期加退選 9/21 – 9/24
選課資源

加入行事曆

選擇訂閱 Google Calendar,或下載通用的 ICS 檔案。

使用 Google Calendar 時,Google 會收到這份課表的公開連結。

國際財務管理

Multinational Financial Management

學期
113-2
學分
0 學分
當期課號
557702
永久課號
MGIF30030
開課單位
管理學院碩士在職專班-財金組
授課教師
梁婉麗
校區
光復
類別
選修
上課時間表
週日
2
09:00–09:50
國際財務管理
M101(光復)
3 節連堂
3
10:10–11:00
4
11:10–12:00

* 根據陽明交大上課時間表所列

概述

This course introduces the international financial environment including the international financial instruments and the exchange rate market. Thus, students will have the basic knowledge about the managerial aspects of international financial management. In addition, this course helps students to be familiar with the international business relationship and further provides them to know how the multional companies can prevent the risk of exchange rate in this market. There are three parts in this course: a. the international financial environment; b. exchange rate behavior and exchange rate risk management; c. short-term asset and liability management and long-term asset and liability management.

先修科目

Students are expected to have the basic knowledge of financial management or statistics.

備註

無備註

教學方式

教師未提供此項資料

評分方式

Description of Course Details: 1. Exams: Two exams: Mid-term exam and Final exam. 2. Evaluation and Grading Policy: In-class performance:20% (students’attendance is counted); Mid-term exam: 40%; Final exam: 40%. 3. Pedagogy and other supplementary information (websites, TAs, handouts and/or databases): The materials of this course I will put on the e-Campus (e3).

課程大綱
  • The international Financial Environment

    1.Multional financial management 2. International financial markets 3. Currency derivatives

    講授:
    18
  • Exchange rate and exchange rate risk management

    1. International arbitrage and interest rate parity 2. Measuring exposure to exchange rate 3. Managing transaction exposure 4. Managing economic exposure 5. Managing translation exposure

    講授:
    21
  • short-term (and long-term) asset and liability management

    1. Short-term asset and liability management 2. Long-term asset and liability management

    講授:
    9
週次計畫
週次主題
第 1 週

課程依本系網站公告之時間表上課請忽略左側系統自動設定時間 Introduction

2025-02-23(日)
第 2 週

Multinational Financial Management: An Overview

2025-03-02(日)
第 3 週

International Financial Markets

2025-03-09(日)
第 4 週

International Financial Markets

2025-03-16(日)
第 5 週

Exchange Rate Derivatives- Currency Forward, Future

2025-03-23(日)
第 6 週

Exchange Rate Derivatives- Currency Option

2025-03-30(日)
第 7 週

International Arbitrage and Interest Rate Parity

2025-04-06(日)
第 8 週

Midterm Examination

2025-04-13(日)
第 9 週

Measuring Exposure to Exchange Rate

2025-04-20(日)
第 10 週

Managing Transaction Exposure

2025-04-27(日)
第 11 週

Managing Transaction Exposure

2025-05-04(日)
第 12 週

Managing Economic Exposure

2025-05-11(日)
第 13 週

Managing Translation Exposure

2025-05-18(日)
第 14 週

Short-Term Financing

2025-05-25(日)
第 15 週

Long-term Financing

2025-06-01(日)
第 16 週

Final Examination

2025-06-08(日)
教科書

Jeff Madura, 2018, International Financial Management, 13th ed., Thomson South-Western (華泰代理Asia Edition) 李隆生譯, 2018國際財務管理(Madura/International Financial Management 13e) (華泰書局)

Office Hours
地點
Room: Building of Management I, Room 421
時間
Wednesday 10:10~12:00
聯絡方式
Making an appointment with me by email.