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Stock exchange competition: the case of Geneva during the interwar period

机译:股票交易所竞争:两次世界大战期间日内瓦的案例

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Despite its importance as a financial centre, the historical literature dedicated to the Swiss financial industry remains scarce. Analyses focusing on cantons and cities of the country are even more limited in number. This is unfortunate and is, in all likelihood, linked to the reluctance of financial institutions to share information in a country where banking secrecy has been at the core of the past success of these institutions. Despite this willingness to share as little as possible, some archival funds have gradually become available, most notably after businesses went bankrupt, changed hands, or simply disappeared. The present article relies on these sources to analyse the evolution of the Geneva stock exchange during the interwar period, which saw a gradual decline of its activity. Independent brokers strived to keep their oligopoly over banks. At the same time, Swiss German banks tried to penetrate the canton-controlled marketplace by using their federal rights and strength to become unavoidable actors. They could ultimately help local bankers gain direct access to the Geneva stock exchange, obliterating the power of brokers who were left with no other choice than to appeal to the Canton of Geneva to defend their position.
机译:尽管它作为金融中心很重要,但有关瑞士金融业的历史文献仍然很少。侧重于该州的州和城市的分析的数量更加有限。这是不幸的,并且很可能与金融机构不愿在银行保密一直是这些机构过去成功的核心所在的国家共享信息有关。尽管愿意尽可能少地分享股票,但一些档案基金已经逐渐可用,尤其是在企业破产,易手或干脆消失之后。本文依靠这些资料来分析两次世界大战期间日内瓦证券交易所的发展,该交易所的活动逐渐减少。独立经纪人努力保持对银行的寡头垄断。同时,瑞士德国银行试图通过利用其联邦权利和实力成为不可避免的参与者,来渗透由广州控制的市场。它们最终可以帮助当地银行家直接进入日内瓦证券交易所,从而消除了经纪人的力量,他们别无选择,只能呼吁日内瓦州捍卫自己的地位。

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