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International Journal of Creative and Open Research in Engineering and Management

A Peer-Reviewed, Open-Access International Journal Supporting Multidisciplinary Research, Digital Publishing Standards, DOI Registration, and Academic Indexing.
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ISSN: 3108-1754 (Online)
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ISO Certification: 9001:2015
Publication Fee: 599/- INR
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License: CC BY 4.0
Peer Review: Double Blind
Volume 02, Issue 8

Published on: August 2026

AN ANALYSIS OF INTERNATIONAL FINANCIAL MANAGEMENT PRACTICES ADOPTED IN INDIA WITH REFERENCE TO THE GULF COUNTRIES

CHARNAPALLY SAI PAVAN DR INAGANTI BADE SAHEB

Student of 2nd Year MBA, Malla Reddy Engineering College and Management Sciences, Medchal, Hyderabad – 501 401.

DR INAGANTI BADE SAHEB, Professor, Dept of MBA in Malla Reddy Engineering College and Management Sciences, Medchal, Hyderabad – 501 401.

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Plagiarism Passed Peer Reviewed Open Access

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Abstract

International Financial Management is important for Indian firms operating across borders, particularly with Gulf countries that maintain strong trade, investment, and remittance links with India. This study analyzes international financial management practices used by organizations with reference to the Gulf region, focusing on foreign exchange management, financing choices, financial risks, digital banking, and effectiveness. The study uses responses from 100 participants and applies percentage analysis to interpret selected financial dimensions. Findings indicate that respondents recognize foreign exchange management as important, identify exchange rate risk as a concern, and view digital banking positively. The study recommends risk management, technology adoption, and financial planning.

 

How to Cite this Paper

PAVAN, C. S. & SAHEB, D. I. B. (2026). AN ANALYSIS OF INTERNATIONAL FINANCIAL MANAGEMENT PRACTICES ADOPTED IN INDIA WITH REFERENCE TO THE GULF COUNTRIES. International Journal of Creative and Open Research in Engineering and Management, <i>02</i>(8), 1-5. https://doi.org/10.55041/ijcope.v2i8.229

PAVAN, CHARNAPALLY, and DR SAHEB. "AN ANALYSIS OF INTERNATIONAL FINANCIAL MANAGEMENT PRACTICES ADOPTED IN INDIA WITH REFERENCE TO THE GULF COUNTRIES." International Journal of Creative and Open Research in Engineering and Management, vol. 02, no. 8, 2026, pp. 1-5. doi:https://doi.org/10.55041/ijcope.v2i8.229.

PAVAN, CHARNAPALLY, and DR SAHEB. "AN ANALYSIS OF INTERNATIONAL FINANCIAL MANAGEMENT PRACTICES ADOPTED IN INDIA WITH REFERENCE TO THE GULF COUNTRIES." International Journal of Creative and Open Research in Engineering and Management 02, no. 8 (2026): 1-5. https://doi.org/https://doi.org/10.55041/ijcope.v2i8.229.

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References


  1. Eun, C. S., Resnick, B. G., & Chuluun, T. (2026). International financial management (9th ed.). McGraw Hill.

  2. Madura, J. (2021). International financial management (14th ed.). Cengage Learning.

  3. Reserve Bank of India. (2024). Annual report 2023–24: Financial markets and foreign exchange management.

  4. Reserve Bank of India. (2025). Annual report 2024–25.

  5. International Monetary Fund. (2025). Global financial stability report. International Monetary Fund.

Ethical Compliance & Review Process

  • All submissions are screened under plagiarism detection.
  • Review follows editorial policy.
  • Authors retain copyright.
  • Peer Review Type: Double-Blind Peer Review
  • Published on: Aug 27 2026
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