Multinational Financial Management Alan C. Shapiro and Paul Hanouna is an English-language textbook that focuses on the core aspects of international financial management. The book is intended for higher-education students seeking in-depth understanding of multinational financial management.
This eleventh edition addresses the main topics in international financial markets, such as foreign exchange trading, derivatives, risk management, and international capital markets. It provides a clear conceptual framework for analyzing financial decision-making in multinational enterprises and draws the connection to the principles of domestic financial management. Without requiring prior knowledge of international economics or finance, this revised edition clarifies practical analytical techniques and theoretical insights that are relevant to international financial decisions.
The book covers all traditional areas of financial management, with particular attention to the unique challenges faced by multinational companies, including currency exposures, segmented capital markets, and political risks such as nationalization. It is aligned in terms of content with fields such as International Business, Accounting, and BUSINESS & ECONOMICS / International / General.

