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Global Banking (3rd Ed.)

Langue : Anglais

Auteurs :

Couverture de l’ouvrage Global Banking
Few sectors of the global economy have experienced the dynamic and structural change that has occurred over the past several decades in banking and financial services or as much turbulence and damage to the economy and to ordinary people. Regulatory and technological changes have been among the main catalysts of change in the financial industry worldwide, making entrenched competitive structures obsolete and mandating the development of new products, new processes, new strategies, and new public policies toward the industry. This book attempts to reassess the continuing transformational process of global banking and finance - its causes, its course, and its consequences. It begins with an overview of the most recent developments and goes on to examine the major dimensions of international commercial and investment banking, including money and foreign exchange markets, debt capital markets, international bank lending, derivatives, asset-based and project financing, and equity capital markets. Later, the various advisory businesses -- mergers and acquisitions, privatizations, institutional asset management, and private banking -- are analyzed. In each case, the factors that distinguish the winners from the losers are identified. This is brought together in the final section of the book, which deals with problems of strategic positioning and execution, as well as critical risk issues and regulations.
Preface -- The World of Global Banking. Part I -- Global Capital-raising and Trading. 1. Foreign Exchange and Money Markets. 2. International Bank Lending. 3. Asset Related and Project Financing. 4. Global Bond Markets. 5. Global Equity Markets. 6. Derivatives and Swaps Markets. Part II -- Advisory and Investment Services. 7. Mergers, Acquisitions and Corporate Advisory Services. 8. Privatizations. 9. Institutional Asset Management - Mutual and Pension Funds. 10. Hedge Funds, Private Equity and Alternative Investment Vehicles. 11. Global Private Banking. Part III -- Competitive Strategies. 12. Strategic Drivers of Structural Change in Global Banking. 13. Assessing and Managing Cross Border Risk. 14. Systemic Risk in Global Banking. 15. Dealing With Regulatory and Compliance Issues. 16. Strategy and Strategic Positioning. 17. Managing Competitive Global Banking Firms.
Roy C. Smith is Kenneth Langone Professor of Finance at Stern School of Business, NYU and a former partner of Goldman, Sachs & Co. Ingo Walter is Seymour Milstein Professor of Finance and Economics and Vice Dean of Faculty at Stern School of Business, NYU. Gayle DeLong is of Associate Professor of Economics and Finance at Baruch College, where she is a Zicklin Fellow.

Date de parution :

Ouvrage de 456 p.

16.1x24 cm

Disponible chez l'éditeur (délai d'approvisionnement : 21 jours).

Prix indicatif 117,78 €

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