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Chinese Capital Markets Research, Winter 2012
![]() | The quarterly Chinese Capital Markets Research is currently published in Japanese only. An English translation of the Table of Contents is provided here and links are shown when related articles in English are available from Nomura Institute of Capital Markets Research or elsewhere. For other materials in English, please contact the author(s) or NICMR directly. |
Contents
Financial and Capital Market Reform
The Chinese Banking Sector's Adoption of Basel III: Progress and Trends
BA Shusong, Development Research Center of the State Council
Major Issues to Deal with before Launching an International Board
LI Yongsen, Finance and Securities Research Institute, Renmin University
Macro Finance
China's Economy in 2012 -- Bottoming Out in the First Half, Toward Recovery in the Second
Chihung KWAN, Nomura Institute of Capital Markets Research, Ltd.
Determinants of China's Policy Interest Rate
Chihung KWAN, Nomura Institute of Capital Markets Research, Ltd.
Public Finance
Debt Problems of China’s Local Governments Kept under Control—Focus on Restructuring Financial Platform Companies
Chihung KWAN, Nomura Institute of Capital Markets Research, Ltd.
Financial Institution Management
Current Status and Issues for Overseas Investment by China’s Financial Sector
LI Zhongmin, Institute of World Economics and Politics, China Academy of Social Sciences
International Finance
Debut of RMB-denominated Inward Direct Investment
Eiichi SEKINE, Nomura Institute of Capital Markets Research
Related article in English from Nomura Journal of Capital Markets, Spring 2012 issue (PDF:180kb)
HOT TOPIC
Leadership Reshuffle at Three of China's Financial Regulators and the Implications for Capital Market Reform
Eiichi SEKINE, Nomura Institute of Capital Markets Research, Ltd.