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Various topics in international financial management as part of an academic course. Topics include the international money market, lending terms of ibrd and ida, calculating cost of debt and equity, forms of tax haven countries, and more. Sections a and b include questions for self-study and exam preparation.
What you will learn
Typology: Exams
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Section-A
a. What is International money market?
b. Explain parallel loans.
c. Distinguish between monetary and non-monetary movement of gold.
d. What is a multilateral agency?
e. Is the lending terms of IBRD and IDA different?
f. (^) How do you calculate the cost of debt and cost of equity?
g. What is cross rate?
h. What are the different forms of tax haven countries?
i. Discuss the factors behind emergence of Euro banks.
j. Distinguish between full bodied coins and debased coins.
k. What do you mean by syndication of lending?
l. Distinguish between euro bonds and foreign bonds.
m. “Parents interest dominates while ordering capital budgeting analysis.”
n. Distinguish between translation and transaction exposure.
Section- B
UNIT- I
UNIT-II
a. GDR’s and ADR’s
b. CP
c. ECB
.
UNIT-IV