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Publications:
- 1996: “Bank Restructuring: Lessons from the 1980s”, Oxford
University Press/World Bank;
- BIS Policy Papers (1996): “Managing the Risks of Growth: Hard
Money and Resilient Financial Systems”;
- BIS Policy Papers (1997): “Derivative Markets and Financial
System Soundness”;
- “Crisis of Money in the 21st Century”, City University, Hong Kong,
April 1998;
- BIS Policy Papers No. 7 (1999): “The Framework for Financial
Stability: Macro and Micro Issues”;
- “The New International Financial Architecture: Is there a workable
solution”, The International Lawyer, Vol.33 No.4, Winter 1999;
- Financial Stability Forum (1999) Task Force Report on
Implementation of Standards; available at www.bis.org;
- “Transparency, Accountability and Standards in Global Markets”,
OECD Second Roundtable on Capital Markets, June 2000 available at www.oecd.org
- “The Importance of Risk Management”, Federal Reserve Bank of
Boston, June 2000
- “Asian Securities Market and the New Economy”, Securities
Commission, Malaysia, August 2000
- “The Art of Financial Regulation”, ASIC Summer School, April 2001
- “The Future of Capital Market Development in East and South
East Asia”, 10th Thai SEC Anniversary Speech, September 2002
- “Regulation and Supervision in the Context of a Global Financial
Environment”, Law and Business Review of the Americas, Vol VIII, No. 4, Fall 2002
- “The Future of Capital Markets in East Asia: Implication for China’s
Equity Markets”, Stanford University Paper No. 192, November 2003
- “Disclosure Regulation: The Role of Intermediaries”, Securities and
Futures Commission, Hong Kong, March 2004
- “Free Markets and Property Rights Infrastructure”, Asian Institute
for Political Economy, July 2005
- Speeches and Papers are available on www.hkma.gov.hk or www.
sfc.hk.
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