To read this content please select one of the options below:

Regulatory Risks and Strategic Controls in the Global Financial Centre of China

The Political Economy of Chinese Finance

ISBN: 978-1-78560-958-9, eISBN: 978-1-78560-957-2

Publication date: 12 November 2016

Abstract

Purpose

This study explores the interrelationship between regulatory risks and strategic controls within the financial supervision architecture of an emergent global financial centre of China that embraces innovation as part of its strategic objectives.

Methodology/approach

This paper employs a longitudinal case study approach to examine the institutional dynamics of the key financial regulators in connection with the regulated financial institutions in Hong Kong before and after the financial tsunami of 2008.

Findings

First, this study reveals an organic development of a specialised financial regulatory architecture that resists transforming itself structurally despite the significant impact of externalities. Second, in this post-financial crisis analysis, regulated financial institutions swiftly respond by strengthening their risk controls through compliance with the guidelines imposed by the regulator. Institutional dynamics in influencing the implementation of risk controls through a top-down interactive mechanism are observed. Such dynamic and pertinent rapid responses induce the pursuit of optimal risk management within a regulatory framework.

Originality/value

This paper provides a longitudinal case study to reveal regulatory risks and strategic controls of the global financial centre of China. It unveils mitigating risk control measures in the aftermath of the global financial crisis. The study demonstrates how regulatory institutions strive to take precautionary, coercive measures such that the regulated institutions mimic and implement prudent mechanisms.

Keywords

Acknowledgements

Acknowledgements

An earlier version of this paper was presented at the International Symposium on Management Accounting and Control in the Age of Globalization Conference 2012 held at Cardiff University, UK. The authors would like to express their sincere thanks for the valuable comments provided by Professor Kent Matthews of the Cardiff Business School and other reviewers.

Citation

Ng, A.W. and Tang, W. (2016), "Regulatory Risks and Strategic Controls in the Global Financial Centre of China", The Political Economy of Chinese Finance (International Finance Review, Vol. 17), Emerald Group Publishing Limited, Leeds, pp. 243-270. https://doi.org/10.1108/S1569-376720160000017015

Publisher

:

Emerald Group Publishing Limited

Copyright © 2016 Emerald Group Publishing Limited