刍议中国基金业规范化发展的自律模式 |
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引用本文: | 戴志敏,姜宇霏.刍议中国基金业规范化发展的自律模式[J].商业研究,2003(16):112-114. |
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作者姓名: | 戴志敏 姜宇霏 |
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作者单位: | 浙江大学,经济学院,浙江,杭州,310027 |
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基金项目: | 国家社科基金项目(02BJY131)阶段性成果. |
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摘 要: | 中国资本市场成熟化的一项战略性措施就是积极发展机构投资者。大力发展证券投资基金是我国发展机构投资者的重要部分 ,而其中自律监管对于证券监管体系的完善极为重要。自律监管模式是一种针对我国现有基金业监管不足的新的制度规范思路
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关 键 词: | 基金业 规范 自律模式 |
文章编号: | 1001-148X(2003)16-0112-03 |
修稿时间: | 2002年8月21日 |
On Self-supervision Model of Standardized Development of Investment Fund in China |
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Abstract: | One of the strategic measures for achieving maturity of capital market in china is to develop institutional investors. To development securities investment is the major part of nuturing institutional investors and self-supervision is very important to the improvement of securities supervision system. It is a new idea against the insufficient supervision system. This article hence raises some proposals for self-supervision in investment fund industry. |
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Keywords: | investment fund industry standardization self-supervision model |
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