Wiley
Wiley.com
Print this page Share

China's Banking and Financial Markets: The Internal Research Report of the Chinese Government

ISBN: 978-0-470-82219-7
500 pages
April 2007
China
"This is a very timely book. With the recapitalization and reform of China's banking sector now well under way, the banks are on the brink of a new era of growth and expansion. This work is the definitive reference on the banking sector in China, and is an essential tool for anyone seeking to understand the dynamics of financial intermediation on the Mainland. It sets out the facts, free of the judgment calls that so often cloud the true picture of the health of China's banking system."
--Dr. David K.P. Li, Chairman and Chief Executive, The Bank of East Asia, Limited

"As China continues its impressive pace of economic growth, the rest of the world is constantly reassessing the opportunities and challenges it presents. This book is the first official report on the status of China's financial services industry and financial markets. For the first time, the international community gets access to the same information that the Chinese government uses in making key policies. Such unique insights make this book an essential read for business leaders, investors, policy makers, scholars, and anyone who is interested in understanding China's profound impact on businesses and consumers globally."
--Maurice R. Greenberg, Chairman & CEO, C.V. Starr & Co.

"This is the first book that introduces all aspects of the Chinese banking and financial markets to international audiences. From its developmental history to its contemporary challenges, China's banking and finance markets are presented, explored and analyzed with great detail and in great depth. Both the richness of the data and the scholarly strength of the methodology are a milestone. China's increasing participation in global financial markets makes this book a must read for all financial professionals worldwide."
--Lefei Liu, Chief Investment Officer, ChinaLife Insurance
See More
Preface.

Acknowledgments.

Contributors.

Advisory Committee.

About the Editors.

About the Sponsor.

Part I. Macro-economy and Policies.

1. The Macroeconomic Situation.

2. Financial Industry Performance and Monetary Policy Operation.

Appendix to Part I — An Analysis of China’s Fund Flow in 2004.

Part II. Financial Institutions.

3. The Banking Industry.

4. The Insurance Industry.

5. The Trust Industry.

6. The Securities Industry.

Appendix I to Part II — Asset-management Companies in China.

Appendix II to Part II — China’s First Money-broking Company.

Appendix III to Part II — The National Council for Social Security Fund.

Part III. Financial Markets.

7. The Inter-bank Money Market.

8. The Inter-bank Bond Market.

9. The Stock Exchange Market.

10. The Futures Market.

11. The Gold Market.

Part IV. Balance of Payments and Exchange Rate.

12. The Balance of Payments and Reform of the RMB Exchange Rate.

Part V. Legal and Institutional Environment for Financial Development.

13. Building a Rule-of-law Environment in the Financial Industry.

14. Regional Differences in Asset Quality and Financial Ecology.

Index.

See More
Professor Li Yang is Director General, Institute of Finance & Banking (IFB), Chinese Academy of Social Sciences (CASS); Director General, Finance Research Center, CASS; Deputy President, China Society for Finance & Banking; Deputy Chief Secretary, China Society of Public Finance; Member, Executive Committee, China Society of International Finance; and former Member, Monetary Policy Committee, People's Bank of China. Professor Li holds the Honorary Title of "The State Outstanding Specialist with Remarkable Contributions to the Country" given by the State Council in 1992. He won the Sun Yefang Economics Prize, the highest economics prize awarded in China, three times (1990, 1994, 1996). He has published 22 monographs and over 300 research articles and review essays as well as organized and participated in 30 state-level research projects and international cooperative studies. He has an MA in money and Banking (Fudan University) and a PhD in public finance (Renmin University of China). He was a visiting scholar in economics at Columbia University

Dr. Robert Lawrence Kuhn is an international investment banker and corporate strategist. Since 1989, he has been advising the Chinese government on economic policy, mergers and acquisitions, science and technology, media and culture, and international communications. The author or editor of over 25 books, including The Library of Investment Banking, Dr. Kuhn wrote The Man Who Changed China: The Life and Legacy of Jiang Zemin, a precedent-setting biography of a living Chinese leader that was China's best-selling book of 2005. Dr. Kuhn is Senior Advisor to Citigroup Investment Banking and Senior Partner of IMG, the world's premier sports, entertainment and media company. A public intellectual with a doctorate in anatomy/brain research (UCLA) and a master's in management (MIT), Dr. Kuhn speaks and writes frequently in the business media.

See More
“…shines a spotlight on the Chinese banking and financial industries”. (Global Finance, April 2007)

“This is a very timely book.  With the recapitalization and reform of China's banking sector now well under way, the banks are on the brink of a new era of growth and expansion.  This work is the definitive reference on the banking sector in China, and is an essential tool for anyone seeking to understand the dynamics of financial intermediation on the Mainland.  It sets out the facts, free of the judgment calls that so often cloud the true picture of the health of China's banking system."
Dr. David K.P. Li, Chairman and Chief Executive, The Bank of East Asia, Limited

"As China continues its impressive pace of economic growth, the rest of the world is constantly reassessing the opportunities and challenges it presents. This book is the first official report on the status of China's financial services industry and financial markets.  For the first time, the international community gets access to the same information that the Chinese government uses in making key policies.  Such unique insights make this book an essential read for business leaders, investors, policy makers, scholars, and anyone who is interested in understanding China's profound impact on businesses and consumers globally."
Maurice R. Greenberg, Chairman & CEO, C.V. Starr & Co.

"This is the first book that introduces all aspects of the Chinese banking and financial markets to international audiences.  From its developmental history to its contemporary challenges, China’s banking and finance markets are presented, explored and analyzed with great detail and in great depth.  Both the richness of the data and the scholarly strength of the methodology are a milestone. China's increasing participation in global financial markets makes this book a must read for all financial professionals worldwide."
Lefei Liu, Chief Investment Officer, ChinaLife Insurance

See More
Buy Both and Save 25%!
+

China's Banking and Financial Markets: The Internal Research Report of the Chinese Government (US $175.00)

-and- Paper Money Collapse: The Folly of Elastic Money and the Coming Monetary Breakdown (US $39.95)

Total List Price: US $214.95
Discounted Price: US $161.21 (Save: US $53.74)

Buy Both
Cannot be combined with any other offers. Learn more.

Related Titles

Back to Top