Monetary Policy and Global Protectionism: Welcome and Risk of Rising Global Protectionism
VIDEO March 17, 2014Speaker / Author
Christian Noyer
Christian Noyer was born in 1950 near Paris. After obtaining a Bachelor of Laws (LL.B.), he received a Master’s Degree in Public Administration from the Paris Institute of Political Studies (“Sciences Po”). He then joined the Ecole Nationale d’Administration (ENA), of which he is a graduate. He entered the French Treasury in 1976, and spent two years in 1980-82 in Brussels as a financial attache at the French Delegation to the European Union. Back at the Treasury, he held various positions, dealing both with domestic and international affairs, and was appointed Director of the Treasury in 1993. He also served as ... Read More
Michael Drury
Michael Drury is the chief economist for McVean Trading & Investments, LLC. He joined the firm in 1992, after serving for five years as senior economist with Allen Sinai at Shearson Lehman Brothers and its successor firms. Michael began his career in New York in 1982 as senior economist at A. Gary Shilling and Company. He received his B.S. in economics from the Georgia Institute of Technology and did his graduate work at the University of Wisconsin-Madison. Michael assesses macroeconomic developments around the world to help develop hedging strategies using futures markets in interest rates, currencies and industrial materials. He travels ... Read More
Timo Tyrvainen
Since 2017, PhD Timo Tyrväinen is the Chief Economist of Climate Leadership Coalition, Finland. He also chairs CLC´s Finance theme group. In 1998-2014 Tyrvainen acted as the Chief Economist of Aktia Bank, Finland, and in 2014-16 as the Senior Advisor to the bank. In 1975-98, he belonged to the staff of the Bank of Finland. During his central banking years, Timo worked with the OECD Economics Department in1982-83 and the OECD Job Study Task Force in 1993-94. In London School of Economics he stayed as an Academic Visitor in 1989. Before leaving central banking, he carried out in Banco de España, ... Read More
Daniel Fermon
Daniel Fermon is head of cross asset thematic research at Société Générale Corporate & Investment Banking and published thematic cross asset research. He started at Société Générale Corporate & Investment Banking in 2004 and has been involved in marketing of cross asset report in Europe and the U.S. Prior to this, Daniel was head of European equities at Banque de Neuflize, a French subsidiary of ABN Amro. There, he was responsible for the development of portfolio management process for the private banking department on all asset classes and asset allocation analysis of major clients' global portfolios. Before joining Banque de Neuflize ... Read More
Josh Rosner
Josh Rosner is co-author of the New York Times Bestseller "Reckless Endangerment: How Outsized Ambition, Greed, and Corruption Led to Economic Armageddon," and managing director at independent research consultancy Graham Fisher & Co. He advises regulators, policy-makers and institutional investors on banking and financial markets. Previously he was the managing director of financial services research for Medley Global Advisors and was an executive vice president at CIBC World Markets. Mr. Rosner was among the first analysts to identify operational and accounting problems at the government-sponsored enterprises, one of the earliest in identifying the peak in housing markets, the likelihood of ... Read More