Pressure Points in China´s Financial System
- Credit Suisse
-
21
Mar
2012
The lingering debt crisis in Europe and slow growth in the US and elsewhere has raised serious questions for China's own debt situation this year. Victor Shih, Professor at Northwestern University, puts China's local government debt into perspective and explains the near term effect.
Cómo han impulsado los bancos mexicanos la calidad de su capital
- Standard & Poor’s
-
12
Jul
2011
A pesar de las crisis económicas y del consiguiente incremento en la regulación, el sistema bancario mexicano ha mantenido un nivel de capitalización que se compara favorablemente con los bancos en todo el mundo. En opinión de Standard & Poor's, el capital ajustado por riesgo del sistema tiene una alta calidad y se sitúa en 10%; los bancos han mejorado la calidad de sus carteras de crédito desde 2007. En este podcast, Angélica Bala, Senior Director en Standard & Poor's nos habla sobre la trayectoria y el panorama para los bancos en México.
The (Next) Financial Crisis
- Harvard Business Publishing
-
11
Jul
2011
Nicholas Dunbar, author of The Devil's Derivatives: The Untold Story of the Slick Traders and Hapless Regulators Who Almost Blew Up Wall Street ... and Are Ready to Do It Again.
The future of consumer lending. Big need means big opportunity
- Deloitte
-
24
May
2011
A significant market segment is emerging as a result of the financial crisis. According to a recent survey conducted by the Deloitte Center for Financial Services, 22 percent of Americans with bank accounts experienced a serious negative credit situation during the last two years, and 11 percent were first-time defaulters - consumers who had never fallen into delinquency before.
Why Italian Banks Face A Tricky Recovery?
- Standard & Poor's
-
26
Abr
2011
Italy's banks are slowly digging out of one of the deepest recessions in the past half century, as the country's GDP declined a cumulative 6% in 2008-2009. But banks are climbing over difficult and new terrain, such as persistently slow domestic economic growth, much higher prices for wholesale funding due to sovereign credit worries in the eurozone, and tougher capital rules in the run-up to Basel III. In this podcast, Standard & Poor's credit analyst Renato Panichi provides an in-depth look at the situation and what could lie ahead.
The State of European Banks and Credit Markets after the Financial Crisis
- CFA
-
04
Ene
2011
In this episode, Matt King discusses how recent regulation affects credit investors and markets, noting that these are palliatives that are overshadowed by huge debt accumulation.
Too Big to Fail — Explained in a Few Steps
- Credit Suisse Research
-
28
Nov
2010
The biggest financial crisis since the Second World War created difficulties for banks all over the world, some of which were only rescued from bankruptcy through state intervention. The following short video shows the most promising way of protecting taxpayers from financial crises in the future.
Analiza la innovación financiera
- HSM
-
27
Oct
2010
Mientras que la innovación en los negocios es generalmente considerada como algo bueno, en el ámbito financiero ha sido objeto de críticas severas ya que las innovaciones difíciles de comprender tales como derivados de CDOs y CDSs fueron responsabilizados en gran medida por la crisis financiera. Hablando aquí con Gillian Tett del Financial Times en el World Business Forum, Paul Krugman describe cómo él considera que la innovación financiera debería ser gestionada.
The Coming Meta-Boom and Meta-Bust - One Economist's View
- Universia Knowledge@Wharton
-
25
Oct
2010
Simon Johnson, a former chief economist for the International Monetary Fund and author of 13 Bankers: The Wall Street Takeover and the Next Financial Meltdown, says the recently passed Dodd-Frank Financial Reform Act does little to prevent the biggest financial risk of our time -- banks that are becoming "too big to save," either because potential losses could overwhelm government resources, or the public will refuse to sanction another large bailout.
Fault lines: how hidden fractures still threaten the world economy
- Vox
-
13
Ago
2010
Raghuram Rajan of the University of Chicago talks to Romesh Vaitilingam about his new book ‘Fault Lines', in which he outlines the deep systemic problems in the world economy that threaten further financial crises - high US inequality, patched over by easy credit; excessive stimulus to sustain job creation in times of downturn; and the choices of Germany, Japan, and China to focus on export-led growth rather than domestic consumption. The interview was recorded in London in July 2010.
Two centuries of commercial banking: crises, bailouts, mergers and regulation
- Vox
-
09
Ago
2010
Richard Grossman of Wesleyan University talks to Romesh Vaitilingam about his new book ‘Unsettled Account: The Evolution of Banking in the Industrialized World since 1800'. Among other things, they discuss the problems of striking a balance between a dynamic banking system and a stable banking system. The interview was recorded at a conference on ‘Lessons from the Great Depression for the Making of Economic Policy' in London in April 2010.
Global Financial Markets: Nouriel Roubini and Mike Milken Debate Where We've Been – Where We're Going
- Milken Institute
-
04
May
2010
Nouriel Roubini es profesor de economía por la Stern School of Business, conocido con el sobrenombre de Dr. Doom (Perdición) por haber predicho en 2006 la crisis financiera. Michael Milken, fue considerado el rey de los bonos basura a mediados de los 80 principios de los 90. Después de pasar 2 años en prisión (acusado de fraude y uso de información privilegiada entre otros) y superar un cáncer de próstata, se ha dedicado a la filantropía creando el prestigios Milken Institute.
From financial crash to debt crisis
- Voxeu
-
12
Abr
2010
Carmen Reinhart talks to Romesh Vaitilingam about the sequencing of the cycle of debt build-ups - from private debt surges to banking crises to sovereign debt crises - and the four ‘deadly D's' that once again threaten many governments as a consequence of the current crisis - deficits, debt, downgrade and default. The interview was recorded at the Royal Economic Society's annual conference at the University of Surrey in March 2010.
Reinhart on Financial Crises
- Ecoontalk
-
24
Nov
2009
Carmen Reinhart of the University of Maryland talks with EconTalk host Russ Roberts about the ideas in her book This Time is Different: Eight Centuries of Financial Folly . They discuss the role of capital inflows in financial crises, the challenges of learning the right lessons, and what is generally true about financial crises over time and place.
Posner on the Financial Crisis
- EconTalk
-
23
Nov
2009
En este podcast, Robert Prosner, prolífico autor y juez federal estadounidense habla de la crisis financiera con el editor de EconTalk, Russ Roberts. El reciente autor del libro Fracaso del Capitalismo, culpa de la crisis a la Reserva Federal estadounidense, así como a los reguladores y a las pólizas y subsidios de riesgo.
Calomiris on the Financial Crisis
- Ecoontalk
-
27
Oct
2009
Charles Calomiris of Columbia Business School talks with EconTalk host Russ Roberts about the financial crisis. Calomiris argues that it is important to put the crisis in historical perspective in the context of other bank crises. He argues that bank crises differ widely across time and place -some times and some places are placid, others are prone to regular crises.
Todo sobre la Crisis
- La Sexta
-
04
Mar
2009
Programa especial Todo sobre la crisis que realizaron Andreu Buenafuente, Leopoldo Abadía y Eduard Punset emitido el domingo 1 de marzo de 2009 en la Sexta. Todo lo que no entiende sobre la crisis, está aquí explicado de una forma inédita y eficaz, a través de preguntas de los ciudadanos. No se lo pierda.
Las inversiones españolas en América Latina en 2009
- IE Business School
-
10
Dic
2008
Aunque hasta el momento Latinoamérica ha resistido mucho mejor que otras zonas del planeta los embates de la crisis financiera y económica, todo parece indicar que en 2009 la región se verá afectada, si bien de una manera mucho más leve que otras partes del planeta.
Corporate lending
- The Economist
-
10
Dic
2008
Incluso a las grandes empresas les resulta difícil obtener crédito de los bancos.
The US credit card bubble. Bubble - what bubble?
- Deutsche Bank Research
-
27
Nov
2008
Una vez rota la burbuja inmobiliaria en Estados Unidos - y haber desencadenado la actual crisis en los mercados financieros internacionales y crisis bancaria - veremos ahora también la burbuja de la tarjeta de crédito, como se sugiere por las recientes especulaciones de medios. ¿El aumento de las deudas de tarjeta de crédito - que actualmente ascienden a casi 1.000 millones de dólares de los EE.UU. - y los impagos notablemente superiores en tarjetas de crédito anuncian una evolución de este tipo?
The Crisis Goes Global
- Business Week
-
24
Oct
2008
Los mercados emergentes, que han crecido tanto en los últimos años, también están sufriendo las consecuencias de la crisis financiera actual. Sus divisas están perdiendo valor, dificultando la devolución de la deuda externa. Europa Central, Ucrania y Corea del Sur son regiones especialmente preocupantes.
Especial Crisis Financiera
- Radio de bolsa y finanzas
-
13
Oct
2008
Mercado de Capitales realiza una entrevista especial sobre la crisis financiera con 2 conocidos analistas técnicos españoles, Eduardo Vicho director de EJD Valores y autor del blog de Asesoramiento en bolsa y David Galan analista técnico de Bolsa General.
More investment banks will fail
- Economist Intelligence Unit (EIU)
-
25
Sep
2008
El director editorial y economista jefe de The Economist Intelligence Unit, Robin Bew, charla sobre los últimos acontecimientos del sector financiero, y opina que habrá más caídas y quiebras de entidades.
The crisis
- UBS
-
Paul Donovan, del Global Economics Department de UBS charla con George Magnus, Senior Economic Advisor de UBS y Larry Hatheway, Responsable de Asset Management Allocation sobre la crisis actual del sistema financiero mundial.22
Sep
2008
Credit crisis: what bank leaders need to know
- Ernst & Young
-
Ernst & Young extracta las intervenciones más señaladas de Bill Schlich, Don Vangel y Hank Prybylski del webcast sobre derrumbe del mercado de crédito.22
Sep
2008
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