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Financial Intermediation in the 21st Century

Edited by Zuhayr Mikdashi

in Palgrave Macmillan Books from Palgrave Macmillan

Date: 2001
ISBN: 978-0-230-29412-7
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Chapters in this book:

Ch 1 Introduction: Financial Intermediation in the Age of Global Capital
Gary L. Perlin
Ch 2 Banking in the Twenty-First Century: the View from the Deutsche Bank
Rolf-E. Breuer
Ch 3 The Internet and the Commercial Banking Industry: Strategic Implications from a US Perspective
William C. Hunter
Ch 4 Three Imperatives to Foster as a Financial Institution in the Euro Era
Jan Huyghebaert
Ch 5 Integrating Risk Management and Capital Management
Prakash Shimpi
Ch 6 IT and the Pressure to Innovate and Restructure
Lars H. Thunell
Ch 7 Global Finance Beyond 2000: SWX Swiss Exchange’s Challenge
Antoinette Hunziker-Ebneter
Ch 8 On-Line Trading is Changing the Capital Markets
Matthias Leclerc
Ch 9 ABB as a Major User of Financial Markets
Jan Roxendal
Ch 10 The Transformation of Stock Exchanges in Europe
Dirk P. Tirez and Timothy Verhoest
Ch 11 What is the Future for Nationally or Regionally Based Financial Centres?
Alec Tsui
Ch 12 The Basel Capital Requirements: a First Step Towards Global Regulation
Andrew Crockett
Ch 13 New Tools and Risks in Financial Intermediation in Emerging Markets: Should Regulators and Raters Adopt New Methods? The Case of Asia
Philippe F. Delhaise
Ch 14 The Role of the Financial Stability Institute of the Bank for International Settlements
John G. Heimann
Ch 15 Switzerland and the Challenges of Globalisation
Bénédict Hentsch
Ch 16 Does the World Need a New Financial Architecture?
Lukas Mülemann
Ch 17 Reform of the Global Financial System: A View from an Emerging Economy
Aly M. Negm
Ch 18 Global Finance Beyond 2000: Implications for Regulation and the Supervisory Authorities
Mikio Wakatsuki
Ch 19 Reforming African Financial Markets in the Era of Globalisation
Kpate Adjaoute
Ch 20 Banking Regulation: Administrative Rules versus Market-Based Instruments
Robert Bichsel
Ch 21 Credit Risk: The New Frontier of Risk Management
Didier Cossin
Ch 22 Banking: Is Bigger Really Better?
Jean-Pierre Danthine
Ch 23 Turbulence, Crises and Risk Management
Salih Neftci
Ch 24 The Quest for the Optimal Portfolio: The Example of Investment Funds
Nils Tuchschmid
Ch 25 Whither Financial Intermediation? Managerial and Regulatory Issues
Zuhayr Mikdashi

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Persistent link: https://EconPapers.repec.org/RePEc:pal:palbok:978-0-230-29412-7

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DOI: 10.1057/9780230294127

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