International Financial Management (FIN 428/528) Topics Understanding exchange rates (Macro/Markets) Managing foreign currency exposure (Risk management) Valuing cross-border acquisitions, in particular in emerging markets (Corporate Finance) Raising capital globally (Corporate Finance / Investments) Investing globally (Investments) After the course, you should be ready to: Design risk management policies Participate in cross-border M&A deals Advise on international equity and debt issues Discuss global asset allocation Teaching Method: Lectures Six to seven business cases One to two guest lectures Stephan Siegel Profession Experience: Restructuring, Private Equity in Europe and China Research Areas: International Capital Market Integration