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Multinational Financial Management

Focus on intermediate and advanced global financial practices, and methods for developing your analytical skills to make sound financial decisions on a global scale.

  • Understand the relationships between interest rates, foreign exchange and inflation rates.
  • Recognize how to identify foreign exchange exposures and determine if alternative hedging instruments should be used to manage these exposures.
  • Analyze current risk management strategies and see how they can mitigate the impact of currency fluctuations on foreign cash flows.
  • Evaluate the risks associated with foreign investment opportunities.
  • Learn how to prepare a cross-border valuation analysis and how to estimate foreign currency discount rates using inflation differentials.
  • Employ different option strategies to maximize return and minimize risk for your organization.
  • Explore how to manage short-term financing, accounts receivable and accounts payable to ensure clear decision making in a global environment.
  • Examine how a global firm’s corporate strategy can affect currency exposure management.

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Course Content

  • Overview of Advanced Global Financial Management
  • Financial Options
  • Forwards, Futures and Swaps
  • Short-term Assets and Liabilities Management
  • Currency Exposures
  • Currency Hedging
  • Country Risks
  • Overview & Recap of Advanced Global Financial Management

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In-person programs: openenrollment@thunderbird.edu
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