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International Financial Market Fluctuations – Corporate Forecasting and Reporting Problems

Book
Reference
Oxelheim, Lars (1985). International Financial Market Fluctuations – Corporate Forecasting and Reporting Problems. Chichester, UK: John Wiley & Sons.

Author
Lars Oxelheim

In a clear and coherent way this book presents a new perspective on the extent and effects of international financial market fluctuations. It looks at, summarizes and analyses the information problems in corporate financial reporting and establishes a normative base for reporting by the use of an empirical evaluation.

As a genuine interdisciplinary study – the book is an integration of the theory of open economies into the theory of the firm, especially the theories of international finance and foreign exchange accounting – International Financial Markets Fluctuations will be of interest to all academics and professionals in the world of international economics, international finance and foreign exchange accounting.

Lars Oxelheim

+46 (0)8 665 4527
+46 (0)70 861 9361
lars.oxelheim@ifn.se