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Book list for International Banking and Financial Studies/ International Financial Market
The books listed below are the textbooks for each course in 1999/ 2000 semester. However, this book list may be subject to the change of lectures next year. It is suggested to buy some of the books in Taiwan because they are quite expensive in UK.
International Banking (Professor Dale), for IBFS:
1. Multinational Business Finance (8th edition), David Eiteman, Arthur Stonehill and Michael Moffett, published by Addison Wesley, 1998
* The main textbook
2. Global Financial Markets, Ian Giddy, published by D C Heath
3. The international Money Market (2nd edition), Gunter Dufey and Ian Giddy, published by Prentice Hall
* It’s better to have one.
Asset Allocation (Professor Thomas), for IFM:
1. Bond Markets: Analysis and Strategies (4th edition), F. J. Fabozzi, published by Prentice Hall
* The main textbook
2. A random walk sown Wall Street, Burton G. Malkiel, published by Norton, 1996
3. Horrible numbers of articles for you to enjoy!
Portfolio Management (Professor Sutcliffe):
1. Corporate Finance (5th edition), Stephen A. Ross, Randolph W. Westerfield and Jeffery F. Jaffe, published by McGraw-Hill, 1999
* The main textbook
2. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
3. Stock Index Futures: Theories and International Evidence (2nd edition), Charles Sutcliffe, published by Internaiotnal Thomson Business Press, 1997
* A book written by Professor Sutcliffe. Don’t buy it in Taiwan because it is too expensive. You can buy a cheaper one directly from the professor.
4. Opti##被过滤## (3rd edition), Robert W. Kolb, published by Blackwell Publishers Ltd., 1997
5. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
* Recommended by Professor Sutcliffe
Corporate Finance (Dr. Wolfe for 1, Dr. Gwilym for 2):
1. Principles of Corporate Finance (6th edition), Richard A. Brealey and Stewart C. Myers, published by McGraw-Hill, 2000
* The main textbook
2. Corporate Finance (5th edition), Stephen A. Ross, Randolph W. Westerfield and Jeffery F. Jaffe, published by McGraw-Hill, 1999
3. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
4. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
Risk Management: the lecture will be changed next year.
International Financial Policy (optional) (Dr. Tafiq Choudhry):
1. International Finance and Open Economy Macroeconomics (2nd edition), F. Rivera-Batiz and L. Rivera-Batiz, published by Macmillan, 1994
* This book is out of print.
Derivatives Securities Analysis (optional): the lecture will be changed next year.
1. Opti##被过滤##, Futures, & other Derivatives (4th edition), John C. Hull, published by Prentice Hall, 2000
* It’s better to have one.
Quantitative Research in Finance (option): the lecture will be changed nest year.
1. Basic Econometrics (3rd edition), Damodar N. Gujarati, published by McGraw-Hill, 1995
2. The Econometrics of Financial Markets, John Y. Campbell, Andrew W. Lo and A. Craig Mackinlay, published by Princeton University Press, 1997
http://www.soton.ac.uk/~taiwan/book01.htm |
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