作者簡介
蘇亥爾·米科達西,畢業於牛津大學,獲博士學位。現任瑞士洛桑大學經濟管理研究生院教授,主要從事銀行及金融服務研究,同時也是該大學“銀行及金融管理研究所”的創始人。他曾在世界銀行和聯合國設在紐約的“跨國企業中心”擔任顧問。作者在金融、自然資源及發展問題方面發表了大量文章和著作。
內容簡介
該書匯集了世界頂尖級銀行業政策制度者及傑出學者的專業意見。針對特定領域,各位撰稿人獨特深入的分析,為各國金融服務業展示了一片新視野。他們深入考察了新金融時代和金融市場未來發展的機遇和挑戰,其重心在於兩方面:新技術和新戰略的地位;風險管理和建立健全金融中介的新途徑。《21世紀金融中介(精)》結尾對非常關鍵的管理制度問題作了評價。
圖書目錄
1.序:全球資本時代的金融中介
第一部分 新金融時代:挑戰和機遇
2.21世紀的銀行業:德意志銀行的觀點··································································羅耳福·E·布來優爾
3.網際網路和商業銀行業:從美國的發展來看其戰略意義··········································威廉·C·亨特
4.歐元時代金融機構的三大要務·············································································喬恩·胡赫伯特
5.整合風險管理與資本管理····················································································普拉卡西·希姆皮
6.信息技術與創新重組的緊迫性·············································································拉斯·H·修耐爾
第二部分 金融市場:未來的發展
7.2000年之後的全球金融:瑞土交易所面臨的挑戰···············································安東奈特·杭茲克·依波奈特
8.網上交易正改變著資本市場·················································································馬特埃斯·萊克勒克
9.ABB:金融市場的一個主要用戶········································································簡·拉克森達
10.歐洲股票交易所的轉變······················································································蒂莫西·佛後斯特
11.全國性或區域性金融中心的未來將會如何?························································徐耀華
第三部分 監管機構:強化金融中介與金融體系
12.巴塞爾資本要求:邁向全球監管的第一步··························································安德魯·克勞克特
13.新興市場中金融中介的新工具和風險:······························································菲利普·徳萊亥茲
14.國際清算銀行金融穩定學院的作用·····································································約翰·海曼
15.瑞土與全球化的挑戰··························································································伯尼迪克·漢慈
16.世界需要新的金融結構嗎?··················································································盧卡斯·米勒曼
17.從新興經濟角度看待全球金融體系的改革···························································阿里·穆罕默德·奈姆
18.2000年之後的全球金融:對管制和監察機構的影響············································若月三喜雄
第四部分 學術界和研究人員的觀點
19.改革全球化時代的非洲金融市場·········································································開普特·阿焦特
20.銀行業的管制:行政法規與市場化工具的比較·····················································羅伯特·比克賽
21.信用風險:風險管理的前沿·················································································迪迪爾·考欣
22.銀行越大越好?····································································································吉安·皮埃爾·旦汀
23.動盪、危機與風險管理·························································································薩里·耐弗茲
24.尋求最優投資組合:投資基金案例·······································································尼克斯·塔斯克姆德
第五部分結 論
25.金融中介路在何方?管理問題和規則問題······························································蘇亥爾·米科達西
書籍評價
“能夠在一本書里匯集如此多的著名金融人士的獨到思想,這實在是了不起的成就,要知道這些人曾經對已開發國家或開發中國家金融業的發展形態產生過影響。”
————ShawkiFarag(埃及中央銀行所屬的銀行研究所行政主管)
“這是一本非同凡響的好書,及時,嚴謹,而且內容全面。可以預見,任何一位銀行業人士或政府相關官員都會對這本書的內容感興趣。”
————SarkisJoephKhoury(加里福吉亞大學教授)