Michel-Henry Bouchet
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Michel-Henry Bouchet has been the Scientific Director of the Master of Science (MSc) in International Finance program at CERAM-Sophia Antipolis since 1998. Dr. Bouchet is also Head of CERAM's Center of Expertise Global Finance as well as the Managing Director of DEFI/Developing Finance in Paris. He has been Principal Advisor of ING Barings until late-2001. Prior to answering his calling to join academia, Dr. Bouchet held high-level positions in international banking from 1978 to 1990, including senior positions at BNP,MH BOUCHET 185 the World Bank (where he was actively involved in debt restructuring and financial engineering assistance to developing countries) and the Washington-based Institute of International Finance. In 1990, Dr. Bouchet moved on to form and preside Owen Stanley Financial, a specialized advisory firm dealing with debt restructuring strategy for country governments that became a subsidiary of ING Barings. He is Guest Lecturer at ESAN (Lima) and at AIT (Bangkok), as well as a regular speaker in business corporate meetings and conferences. Dr. Bouchet received his Master degree from the University of Paris in Economics and his Diploma from IEP-Paris. He joined the dedicated Faculty in 1998.

Education:

  • 2002 Habilitation à Diriger la Recherche (04/2002) Université Paris-Dauphine
  • 2001 Stern School of Business, New York University, International Teaching Programme I (July 2001)
  • 1981 Ph.D in International Relations, USC, Columbia.
  • 1977 Master Degree in International Relations, USC, Columbia. Smith Richardson Fellowship awarded by the Richard L. Walker Institute of International Studies.
  • 1976 Diploma, Institute of Political Sciences, Paris.
  • 1975 Master Degree in Economics, University of Paris X, with distinction. Major: International Banking and Finance
  • 1974 Degree in Philosophy, University of Paris X.

Previous positions:

  • 1998-2004 DEFI-DEVELOPING FINANCE, Paris, General Manager, financial advisory assistance for country governments
  • 1998-2001 ING-Barings, Principal Adviser, Emerging Markets Group.
  • 1990-1998 Owen Stanley Financial SA, Paris, President & Managing Director
  • 1987-1990 The World Bank, Washington D.C., Senior Financial Economist, Office of the Vice-President, Finance, Vice-Presidency of Cofinancing & Financial Advisory Services.
  • 1984-1986 Institute of International Finance, Washington D.C. Senior International Economist
  • 1978-1986 Banque Nationale de Paris, International Division ; Centre de Formation de la Profession Bancaire; Institute of International Studies, USC, Columbia

PUBLICATIONS AND CONFERENCES

Refereed articles prior to 2002

Revisiting the Asian Financial Crisis", with Bouchet and Clark, The International Journal of Finance, vol. 13, n° 2, 2001.

"The Alpha-Stable Hypothesis: An Alternative to the Distribution of Emerging Stock Markets Returns", with Serge Kassibrakis, Emerging Markets Quaterly, 1999.

Refereed conferences

Bouchet, M., Groslambert, B.
Governance and International Capital Flows,
Conférence ISINI, Lille, August 2003

Bouchet, M., Groslambert, B.
Governance, aid flows and market access: a new challenge for International Financial Institutions,
Association Française de Finance, 19th Annual Meeting, Strasbourg, June 2002

Books

Bouchet, M.
La globalisation : introduction à l'économie du nouveau monde. Pearson Education, Paris, 2005

Bouchet, M., Langlois, G., Salin, P.
Gestion et finance internationales, 10ème édition Pearson Education, Paris, 2004

Bouchet, M., Groslambert, B., Clark, E.
Country Risk Assessment : A Guide to Global Investment Strategy. Wiley & Sons, New York, 2003,

Book chapters

 Bouchet, M., Groslambert, B.,
Country Risk and Governance: Strange Bedfellows?,
in Motamen-Samadian, S.,, Governance and Risk in Emerging and Global Markets,
Palgrave-Macmillan, October 2005

 Bouchet, M., Groslambert, B., Clark, E.,
Analysing the Asian Crisis: Was it Really a Surprise?,
in Ghosh, D.K. & Artif, M., Global Financial Markets, Issues and Strategies,
Praeger, 2004

Bouchet, M., Groslambert, B.,
Le Risque-Pays : complexe, multi-critère, et volatile,
in Moreau, F., Comprendre et gérer les risques, Editions d’Organisation, Paris, 2002

Bouchet, M.,
The Impact of geopolitical turmoil on country risk and global investment strategy,
in Suder, G., Terrorism and the International Business Environment: The Security – Business Nexus, Edward Elgar, UK / USA, 2004

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