Overview
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Table of contents (30 chapters)
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Assessing and Managing Risk in Asset Portfolios
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Internal Capital Allocation: The Role of Directors, Investors and the Market for Corporate Control
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Internal Risk Management and External Regulation of Financial Intermediaries and Markets
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The Role of Governance and Strategy in Resource Allocation and Firm and Industry Structure: Case Studies in Financial Services
Keywords
About this book
Authors and Affiliations
About the author
His mainareas of consulting, executive education and research are: strategy in the financial services industry, banking, wealth and asset management and trading systems. He has been a consultant to, amongst others, Westpac Bank, NM Rothschild, Canada Life Insurance, Australian Mutual Provident (AMP), Investec Bank, the London Stock Exchange and SWX Europe (the Swiss exchange). He was a member of the Financial Services Authority (FSA) industry working group on Secondary Bond Market Transparency. He has been a consultant to the US Treasury and to a central bank and in 1978/9 was a monetary policy advisor to Mrs Thatcher's first Chancellor of the Exchequer (finance minister), Lord Howe of Aberavon (Sir Geoffrey Howe). He is also a Director of the holding company for LendLoanInvest.co.uk, a peer to peer social lending website.
Bibliographic Information
Book Title: Commercial and Investment Banking and the International Credit and Capital Markets
Book Subtitle: A Guide to the Global Finance Industry and its Governance
Authors: Brian Scott-Quinn
DOI: https://doi.org/10.1007/978-0-230-37048-7
Publisher: Palgrave Macmillan London
eBook Packages: Business and Economics, Economics and Finance (R0)
Copyright Information: Palgrave Macmillan, a division of Macmillan Publishers Limited 2012
Hardcover ISBN: 978-0-230-37047-0Published: 31 July 2012
eBook ISBN: 978-0-230-37048-7Published: 05 March 2020
Edition Number: 1
Number of Pages: XX, 469
Topics: Banking, Accounting/Auditing, Capital Markets, Risk Management, Business Finance, Corporate Governance