Bankers' and Public Authorities' Management of Risks
Zuhayr Mikdashi(Editor)
Palgrave Macmillan (Publisher)
Published on 11. May 1990
Book
Hardback
296 pages
978-0-333-49699-2 (ISBN)
Description
A select number of personalities from public authorities and from the international banking community examine in this book major risks encountered by the global banking system and reflect on means of mastering them. Their analysis and evaluations have constituted the basis of intensive exchanges at the Second Interantional Banking Colloquium, hosted by the Ecole des Hautes Etudes Commerciales (HEC) - viz. the School of Management and Economics - of the University of Lausanne. On that occasion, some 100 top policy - and decision-makers from all continents participated in an informal, frank and exhaustive discussion of issues of primary importance to all concerned with the safety and stability of the banking sector. The contents of this book testify to the exceptionally high quality of exchanges held at the Colloquium. It ends with the editor's paper which focusses on major issues raised by representatives of the world banking sector at the Colloquium.
More details
Language
English
Place of publication
Basingstoke
United Kingdom
Target group
College/higher education
Professional and scholarly
Illustrations
index
Dimensions
Height: 220 mm
Width: 140 mm
Weight
500 gr
ISBN-13
978-0-333-49699-2 (9780333496992)
Copyright in bibliographic data is held by Nielsen Book Services Limited or its licensors: all rights reserved.
Schweitzer Classification
Other editions
Additional editions

Zuhayr Mikdashi
Bankers' and Public Authorities' Management of Risks
Proceedings of the Second International Banking Colloquium held by the Ecole des Hautes Etudes Commerciales de L'Université de Lausanne
E-Book
06/1990
Palgrave Macmillan
€53.49
Available for download

Zuhayr Mikdashi
Bankers' and Public Authorities' Management of Risks
Proceedings of the Second International Banking Colloquium held by the Ecole des Hautes Etudes Commerciales de L'Université de Lausanne
Book
01/1990
Palgrave Macmillan
€53.49
Shipment within 15-20 days
Persons
Editor
Introduction
Professor of Business Administration, Univeristy of Lausanne
Chairman of the Governing Board, Swiss National Bank, Switzerland
Content
Deposit insurance and banking efficiency, L.William Seidman; the banking system and the indebted developing countries: retrospective and prospects, Moeen A.Qureshi; multilateral supervision for the new financial system, Lamberto Dini; international banks bracing-up to new competition and risks, Sir Philip Wilkinson; competition and risks in financial services: lessons from Tokyo, Yasuo Kanzaki; a universal bank's corporate philosophy: the challenges and opportunities ahead, Walter Seipp; towards the 21st century: new strategies and perspectives for banking, Rainer E.Gut; banking in Europe after 1992, Jacques Thierry; strategies and prospects for Japan's banking sector by 2000, Kazuaki Haradi; guidelines for economic rigour, financial health and monetary order, H.Onno Ruding; public authorities relations to the banking sector, Gerald E.Corrigan; monetary policy and banking stability, Markus Lusser; future developments of Japanese International Capital Markets, Shigeru Uemura; a banker's approach to risks, Georges Blum; responsibilities of a bank's board of directors - with special reference to financial innovations, Robert Holzach; macro-economic concerns of central bankers, Pierre Languetin; the Swiss supervisory approach towards international banking, Kurt Hauri; transnationalization and world financial equilibrium, Gaston Gaudard; bankers' and regulators' management of risks, Zuhayr Mikdashi.