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Please respect the intellectual property rights, and shall not copy the textbooks arbitrarily.

科目代碼 BAU0056 課程名稱 國際財務管理
英文名稱 Multinational Financial Management
全/半年 必/選修 選修
學分數 3.0 每週授課時數 正課時數: 3.0 小時, 實驗時數: 0.0 小時
先修課程 ◎必須先修過【BAU0007 財務管理】
課程簡介 The course extends financial decision-making to the international setting. Topics include the foreign exchange market, predicting exchange rate movements, hedging exposures with various derivative and other alternatives, the challenges of raising funds internationally and the process and documents of international trade. The course makes extensive use of case studies and there is an expectation that students will make recommendations to real life problems and justify their decisions. This is a challenging course with a significant theory content which requires class attendance and participation in addition to the appropriate independent study and thought to be successful. The first half of the course covers the determination of foreign exchange rates, and the basics of trading in financial markets and governmental exchange rate policy. The second half, which is the focus of the course, deals with the impact of foreign currency exchanges and global capital markets on firms’ investment, financing, and risk management policies. We also discuss currency speculation strategies and the impact of monetary policy on exchange rates.
課程目標 對應系所核心能力
1. Describe and understand the basic types of foreign exchange rate quotations 學士:
 1-1 1.1 Able to identify relevant issues
2. Demonstrate a knowledge of the international monetary system, and an ability to calculate and interpret values for various exchange rate problems. 學士:
 1-2 1.2 Able to analyze gathered information using the appropriate methods and models
3. Understand parity conditions, especially the interest rate parity. 學士:
 2-1 2.1 Able to make clear and fluent oral communication in the business context
4. Understand the categorization and effect of foreign exchange exposure 學士:
 2-2 2.2 Able to make clear and fluent written communication in the business context
5. Outline and apply theories of international finance which are used by firms to forecast exchange rates 學士:
 3-1 3.1 Able to demonstrate general business knowledge with global perspectives
6. Explain foreign exchange exposure and compare instruments and techniques available to manage it 學士:
 5-1 5.1 Able to address novel and relevant ideas
7. Apply theories of international finance to case studies so as to analyze, evaluate and then articulate solutions to real world problems 學士:
 5-2 5.2 Able to analyze business issues and opportunities with original insights
8. Compare costs and sources of capital for international and domestic firms. 學士:
 6-1 6.1 Students will demonstrate their ability to comprehend the core knowledge in the concentrating management areas: Marketing, Finance, and Strategy
9. Identify and design the basic risk management strategies to effectively conduct netting, hedging, and offsetting foreign exchange exposure. 學士:
 6-2 6.2 Students will demonstrate their ability to employ analytical approaches for business tasks