User:MHBOUCHET/sandbox

Michel-Henry Bouchet (born November 3rd, 1952 in Lyon-France) is Emeritus Professor at SKEMA Business School, global risk analyst, and investment fund strategy adviser. He specializes in global financial issues, governance, and country risk assessment.

Links http://www.developingfinance.org/ https://www.developingfinance.org/courses/francais/303-finance-internationale-et-gestion-des-risques-seminaire-2017-esc-sfax-tunisia https://www.udemy.com/globalizationskema/

Academic Career Dr. BOUCHET is currently Emeritus Global Finance Professor at SKEMA Business School. He was Chief Strategist of North Sea-Global Equity Management until 2015. MH BOUCHET has been Scientific Director of the Master of Science in International Finance (ranked n°9 worldwide by the FT) at SKEMA-Sophia Antipolis. He was the manager of the new campus in the technology park of Suzhou in 2009. He initiated the first MOOC of SKEMA in 2014 tackling the challenges of Globalization (https://www.udemy.com/globalizationskema) as well as the Country Risk Assessment MOOC in 2017-20. https://www.udemy.com/country-risk-in-the-age-of-global-turbulences/ He teaches Country Risk Management and Global Finance in the MSc Financial Markets and Investments (ranked n°3 worldwide by the FT) as well as at CIFE (International Center of European Training). https://www.cife.eu/en/3/description_263-1 In 2020, he was coordinator of the South Africa Taskforce for promoting joint academic collaboration with Stellenbosch University.

Professional Career Dr. BOUCHET started his career in France’s Prime Minister Office (Secrétariat Général de la Défense Nationale). He has then held high-level positions in international banking, including at BNP (Country Risk deputy manager), the World Bank (Senior Economist-Financial Advisory Services VP) and the Institute of International Finance in Washington, D.C. At the World Bank, he worked in the Office of the Vice-President, Finance and at the Vice-Presidency of Cofinancing & Financial Advisory Services. Participated in the development of IBRD’s financial engineering assistance in debt management (Morocco, Cote d‘Ivoire, Togo, Algeria, Tunisia, Ecuador, Bulgaria...). Represented the World Bank in London Club steering committee meetings, in conferences on international finance matters, as well as in World Bank's Executive Training Programs for country officials. In 1990, he became founder and CEO of Owen Stanley Financial SA, a specialized advisory firm dealing with debt restructuring strategy in EMCs, before moving into a subsidiary of ING Barings where he was Principal Advisor. After helping to launch the North Sea-Global Equity Management Fund, he was its Chief Strategist until 2016.

Dr. BOUCHET has been International Affiliate Professor at ESAN (Lima) and Visiting Lecturer at ESCP-CFVG (Vietnam) and at ESC-Sfax (Tunisia), as well as at Zhejiang and Suzhou Universities in China. He is a frequent speaker in international conferences. He was Visiting Scholar at the Asian Institute of Technology (Thailand). He is Reviewer of the International Business Review and of the African Development Review (Wiley), as well as on the Editorial Advisory Boards of International Journal of Islamic and Middle Eastern Finance & Management and the Journal of Economics, Finance and Management Science. He is also Expert Witness in international arbitrage courts. Dr. Bouchet is member of Association Française d’Economie Politique, Association d’Economie Financière, ANTICOR, and Transparency International.

Academic Career Graduated with a Master in Economics from the University of Paris-X and from the Paris Institut d’Etudes Politiques. Master and Ph.D in International Relations from USC, Columbia, USA. HDR from Université Paris-Dauphine.

Publications MH BOUCHET has published extensively, including the following: “Political Economy of Sovereign Debt”, Quorum Books, Greenwood "Risque-Pays et Risque Politique", in Comprendre et Gérer les Risques, coordinated by Moreau F. Références, Editions d'Organisations, 2002 “Country Risk Assessment: A guide to global investment strategy", Wiley 2003, with Clark E. & Groslambert B. "The Impact of geopolitical turmoil on country risk and global investment strategy", in Terrorism and the International Business Environment, edited by Suder Gabriel, Edward Elgar Publishing, 2004 “Gestion et Finance Internationales 10th edition”, co-author of translation of Eiteman D., Stonehill A. and Moffett M., Pearson, 2004 “La Globalisation-Introduction à l’Economie du Nouveau Monde”, Pearson 2005 “Intelligence Economique et Gestion des Risques”, Pearson, 2007, with Guilhon A. "Economie de la Connaissance et Hyper-Finance: de la globalisation des crises à la régulation globale?", in Le Management dans l'Economie de la Connaissance, edited by Dibiaggio L. and Meschi. PX, Pearson, 2010. “La Deuda de la Naciones: Que, Quien, Como, Cuanto y Porque?”, Federacion Latinoamericana de Bancos-Bogota, 1989 “Riesgo-Pais: un Enfoque Latino-Americano”, ESAN-PERU 2007 “Les Nuits Blanches” Roman, L’Harmattan-Paris, 2001 “Country Risk Management in the Age of Globalization”, Palgrave-MacMillan, 2018 (with C. Fishkin and A. Goguel) “Getting rid of moral hazard in Debt cancelations”, JRMFI, Spring 2021 "Roundtable Discussion on Political Risk", in Quid Periculum? Measuring and Managing Political Risk in the Age of Uncertainty, by McKee Christopher and Marber Peter, PRS Group, 2021