Curriculum Vitae
Transcription
Curriculum Vitae
Michel Henry BOUCHET Accounting and Finance Sophia-Antipolis CV Biography: Dr. Bouchet is currently Distinguished Finance Professor at SKEMA Business School. He is also Managing Director of DEFI-Developing Finance, and Board member of North Sea-Global Equity Management Fund. Dr. Bouchet has been Scientific Director of the Master of Science in International Finance (ranked n°9 worldwide by the FT 2011), as well as coordinator of CERAM's Global Finance Center since its inception. Michel Henry Bouchet has been the manager of the new campus in Suzhou (China) in 2009. He specializes in country risk assessment and international financial issues. M.H. Bouchet started his career with the Secrétariat Général de la Défense Nationale. He has then held highlevel positions in international banking, including at BNP (country risk management), the World Bank (Senior Economist-financial engineering assistance) and the Institute of International Finance (Senior international economist) in Washington, D.C. In 1990, he moved on to form Owen Stanley Financial SA which he served as its CEO. Until end2001, he was Principal Advisor of ING Barings as well as executive partner of FINCONET. Dr. Bouchet is International Affiliate Professor at ESAN (Lima) and Guest Lecturer at CFVG (Saigon & Hanoi), as well as being a regular speaker in China such as at Zhejiang and Suzhou Universities, in business corporate meetings and conferences. In 2005 he was Visiting Scholar at the School of Management of the Asian Institute of Technology. He is Reviewer of the International Business Review and on the editorial boards of International Journal of Islamic and Middle Eastern Finance, and of Journal of Economics, Finance and Administrative Science. He is also Expert Witness in international arbitrage courts. Dr Bouchet graduated in Economics from the University of Paris X and from the Paris-based Institut d'Etudes Politiques. He also holds a Master and a Ph.D in International Relations from USC, Columbia, USA. He got his HDR from Université Paris-Dauphine. He has published extensively, including 'Country Risk Assessment', 'Gestion et Finance Internationales', 'La Globalisation-Introduction à l'Economie du Nouveau Monde' (Pearson 2005), 'Intelligence Economique et Gestion des Risques' (Pearson 2007, with Alice Guilhon), and 'Riesgo-Pais: un enfoque latino-americano' (ESAN 2007). Skills & Interests Teaching Skills 2014-15: Globalization seminar MOOC >4500 participants worldwide (California-based UDEMY platform) 2012-13: Globalization seminar on five campus, 1200 students, "blended e-Learning" with dedicated pedagogical support website Teaching experience in Europe, Asia (China & Vietnam), Latin America (Peru) and Maghreb (Morocco, Tunisia) Research Skills • • • Country risk Globalization Governance and global capital flows Languages French, English, Spanish Expertise • Financial advisory services for emerging country governments (as former World Bank senior economist and former President of Owen Stanley Financial) • • Country risk analyst Global fund management (Strategy director of North Sea Global Equity Management-Norway) International Interests Asia (China) Maghreb countries (Tunisia, Morocco, Algeria) Latin America (Peru) Citizenship: France Qualification Academically Qualified Academic Degrees HDR Université Paris-Dauphine, Paris, France, 2002 Other Stern School of Business, New York University, International Teaching Programme, 2001 Ph.D. USC, Columbia, USA, International Relations Dissertation, 1981 Master USC, Columbia., USA, Master Degree in International Relations, 1977 Other Institute of Political Sciences, Paris, France, Diplôme de Sciences Politiques, 1976 Master University of Paris X,,International Banking and Finance, 1975 Other University of Paris X., Degree in Philosophy, 1974 Work Experience Visiting Lecturer in International Finance, Faculté de Sciences Economiques et Gestion (2009 - Present), Sfax, Tunisia. SKEMA-Distinguished Finance Professor, Skema Business School (1998 - Present), Sophia-Paris-Lille-SuzhouRaleigh, France. VISITING PROFESSOR, CFVG Business School (2004 - 2012), Hanoi-Ho Chi Minh, Viet Nam. Campus Director, SKEMA (2009 - 2010), SUZHOU, Virtual. Coordinator, Global Finance Center, Skema Business School (1998 - 2009), Nice, France. Scientific Director MSc International Finance (ranked n°9 FT worldwide), CERAM-Skema Business School ( 1998 2009), Nice, France. External Examiner, ESCP-EAP International Master Program, ESCP-EAP (2002 - 2007), Paris, France. International Visiting Professor, ESAN University (2009 - 2006), Lima, Peru. Member, Helfer Commission on Academic Accreditation (Grandes Ecoles) (2002 - 2005), Paris, France. Executive partner, FINCONET (2000 - 2005), Unkown, France. Principal Adviser, Emerging Markets Group, ING-Barings (1998 - 2001), Amsterdam, Netherlands. President & Managing Director, Owen Stanley Financial SA, (1990 - 1998), Paris, France. Senior Financial Economist, The World Bank (1987 - 1990), Washington D.C., United States of America. Senior International Economist, Institute of International Finance (1984 - 1986), Washington D.C., United States of America. Deputy Manager-Country Risk, Banque Nationale de Paris (1981 - 1986), Paris, France. Advanced executive courses on Money and Banking, Centre de Formation de la Profession Bancaire (1982 - 1983), Paris, France. Research Associate in International Economics, Institute of International Studies,USC, Columbia, USA (1979 - 1981), Columbia, United States of America. General Secretary of National Defense, Prime Minister's Office (1978 - 1979), Paris, France. INTELLECTUAL CONTRIBUTIONS Articles in Journals Bouchet, M., Laguerre, C., & Coste-Manière, I. (2011). Evolution of the Global Financial System : Moralize and Separate 'Real Economy' from 'Virtual Sphere' is the Key. Diplomatist, 34. BOUCHET, M. (2010). Globalisation financière et régulation bancaire. REVUE BANQUE. BOUCHET, M. (2010). Vietnam's Capital flight 1977-2009 : A country risk analysis,. International Review. BOUCHET, M. (2002). L'information : un nouveau risque d'implosion pour les nations ? AGEFI-Finance et Technologie. BOUCHET, M. (2002). Le Risque-Pays: Complexe et Multi-critère in Comprendre et Gérer les Risques. Editions d’Organisation, AFPLANE & Ernst & Young, 2002. BOUCHET, M., Groslambert, B., & Clark, E. (2002). The Asian Crisis: Were markets caught by surprise. International Journal of Finance. BOUCHET, M., Bravo, L., Gori, S., & Kutas, G. (2002). The Impact of Domestic Pension Funds on the Chilean and Polish Financial Markets. CERAM-Labo Recherche. GROSLAMBERT, B., BOUCHET, M., & CLARK, E. (2001). Revisiting the Asian Financial Crisis. International Journal of Finance, 13 (2). BOUCHET, M., Groslambert, B., & Clark, E. (2000). Revisiting the Asian Financial Crisis : Were Capital Markets Caught by Surprise? CERAM-Labo Recherche. BOUCHET, M. (2000). a Globalisation: Risques, Enjeux et Opportunités. Cahier de Recherche, Labo Ceram Sophia Antipolis,. BOUCHET, M. (1988). 'Third World Risk: Long-Term Treatment, No Quick Fixes'. International Financing Review. Bouchet, M. (1988). Evolution et Enjeux du Risque-Pays. Revue EUREPARGNE. BOUCHET, M. (1987). La Dette est-elle une Fatalité? REVUE BANQUE. BOUCHET, M. (1985). L'Institut pour la Finance Internationale: Entretiens avec André de Lattre. Revue Politique Internationale. BOUCHET, M. (1984). La Crise d'Endettement des Pays en Développement: Organiser la Solidarité Forcée. REVUE BANQUE. BOUCHET, M. (1983). Banques et Pays en Développement Face aux Risques Internationaux. FINANSIJE. BOUCHET, M. (1982). L'Endettement des Pays en Développement: Risque de Défaut et Défaut d'Analyse. REVUE BANQUE. BOUCHET, M. (1981). 'L'Endettement des Pays en Développement et la Privatisation de la Dette'. Internationalisation des Banques et des Groupes Financiers, Colloque CEREM, Editions du CNRS. Books, Monographs, Compilations, Manuals BOUCHET, M. (2010). Hyperfinance et régulation Pearson. BOUCHET, M. & Guilhon, A. (2007). Riesgo-Pais : Un enfoque latinoamericano Pearson. Guilhon, A. & Bouchet, M. (2006). L'Intelligence Economique et la Gestion des risques Person Education. Bouchet, M. (2005). La Globalisation, Introduction à l'Economie du Nouveau Monde Pearson. BOUCHET, M., Clark, E., & Groslambert, B. (2003). Country Risk Assessment: A Management Tool for Global Investment WILEY & Sons, New York. Chapters, Cases, Readings, Supplements Bouchet, M. (2015). Capital Flight as a Political Risk Indicator. In Sam Wilkin (Ed.), Country and Political Risk - 2nd Edition. Risk Books. BOUCHET, M. (2008). Analyse et Gestion du Risque-Pays. Analyse et Gestion du Risque-Pays: Le cas Solvencia. Paris: CFEC-2008. Groslambert, B., Bouchet, M.H, & Clark, E. (2005). Was the Asian Crisis Really a Surprise'. Global Financial Markets: Issues and Strategies. Praeger, Dilip K. Ghosh and Mohamed Ariff ed., London, UK.. BOUCHET, M. & Groslambert, B. (2005). Governance and Capital Market Access. In Dr. Sima MotamenSamadian (Ed.), -. Palgrave, London. BOUCHET, M. (2003). Global Economy and Global Terrorism. Terrorism and the International Business Environment – Security Nexus. EE Publisher, London.. BOUCHET, M., Groslambert, B., Clark, E., & Ghosh, D. (2002). Analysing the Asian Financial Crisis: Was it Really a Surprise?. In Dilip K Ghosh (Ed.), Global Financial Markets: Issues and Policies. Greenwood Publishing, Connecticut, USA. Research Reports 1990: Bouchet, M., Transnational Banks and Developing Country Debt., submitted to Report to the United Nations on Commercial Banks' Regulatory Regimes.. Other Research 2012: Bouchet, M., La Victoire de la Démocratie Sénégalaise - Libération - 27 mars 2012. La Victoire de la Démocratie Sénégalaise - Libération - 27 mars 2012 [Contributions To Practice] 2010: , ., . La crise financière et l'Euro, Le Figaro (mars) Globalisation et volatilité, La Tribune (mars) Fuite des capitaux et bonne gouvernance, Jeune Afrique (février) Le défi de l'épargne expatriée, L'Economiste Maghrébin (avril) Should Europe fear Germany, again ? Business Week (June 2010) [Contributions To Practice] 2006: , ., . 'Governance and Capital Flight', ESAN Cuadernos de Investigación, Lima (Peru) 'Grado de inversión o grado de desarrollo sostenible?, LA OPINION, Lima, Julio de 2006 'El Pery y las agencias clasificadoras', LA INDUSTRIA, Peru (Junio de 2006) 'Que es el Riesgo-Pais', INVERSIONES, Julio de 2006 [Contributions To Practice] 2005: , ., . « El Peru y el riesgo-pais ». Enero de 2006, El COMERCIO (Lima) [Contributions To Practice] 2004: , ., . « El termometro del riesgo-pais », 12 de febrero de 2004, El COMERCIO (Lima) « FMI : Bouc émissaire tacite et utile, » 6 juillet 2004, Les ECHOS [Contributions To Practice] 2003: , ., . 2003 «Cinq Défis pour une Côte d'Ivoire pacifiée », Jeune Afrique, 16-22 Février 2003 'Côte d'Ivoire : Eviter une Yougoslavie sub-saharienne», Les ECHOS, 12 Janvier 2003 [Contributions To Practice] 2002: , ., . 'Du bon usage de l'endettement », Les ECHOS, 11 Mars 2002. « El Peru no debe dejar el rumbo iniciado », EL COMERCIO (Lima), July 22, 2002 [Contributions To Practice] 2000: , ., . 'Côte d'Ivoire: Trois défis majeurs, » Jeune Afrique, 11 Décembre 2000, avec Bertrand Groslambert « Côte d'Ivoire : Le Réalisme ou la Mort ? », Le MONDE, 26 Octobre 2000 « International Financial Institutions and the Governance Issue », in Carta Internacional, Sao Paulo, n°88, Junho 2000. pp. 3-5. 'L'Afrique est toujours mal partie », Les Echos, 26 Mai 2000. [Contributions To Practice] 1998: , ., . « A European Viewpoint on the WTO's Millenium Round, » Carta Internacional, Sao Paulo, n°82. Dezembro 1999. [Contributions To Practice] 1996: , ., . «Les Bénéfices de la restructuration de la dette », L'AGEFI, 4 mars 1996. «Réduction de Dette et Protection de l'Environnement », avec Andrew Roche, ECODECISION, mars 1996, n° 8. « Afrique: Le Retour des Capitaux », Jeune Afrique, n°1851, Juillet 1996 [Contributions To Practice] 1995: , ., . « Coûts et Bénéfices des Conversions de Créances », ALAHRAM Hebdo, Le Caire, Décembre 1995. « Banques et Finance - La Dette: Pour un New Deal », Jeune Afrique, n°1823, Décembre 1995. «Towards an internationally-agreed Environmental User Charge on Air Transport », ECODECISION, mai 1995 «L'Europe et son Sud: Pour une nouvelle politique européenne en Afrique », TransEuropéennes, n° 5. [Contributions To Practice] 1993: , ., . «Réduction de Dette et Protection de l'Environnement », avec André Diethelm, ECODECISION, mars 1993, n° 8. « Deux Initiatives Françaises sur le front de la réduction de la dette », Jeune Afrique, Septembre 1993. [Contributions To Practice] 1991: , ., . 'Qui Financera la Croissance ?', Les ECHOS, 6 Janvier 1991 [Contributions To Practice] 1989: , ., . La Deuda de las Naciones: La Pregunta de los 1300 billones de dolares, FELABAN (Federacion Latina de Bancos), Bogota, Colombia. 'The Rise of the Menu Approach and Its Limitations', in Dealing with the Debt Crisis, edited by the World Bank, with J. Hay The Tax, Accounting, and Regulatory Treatment of Sovereign Debt, The World Bank, with J. Hay The Market-Based Menu Approach to Debt Reduction, The World Bank, CFS Paper [Contributions To Practice] 1987: , ., . ,The Political Economy of International Debt: What, Who, How Much and Why Praeger/Greenwood, 2nd. edition. [Contributions To Practice] Professional Service Reviewer: Reviewer for a Journal 2011: International Business Review - International Journal of Islamic and Middle Eastern Finance (and Board member) - Journal of Economics, Finance and Administrative Science (International). Professional Memberships Association Française d'Economie Politique, 5