摘要:在本文中,作为研究对象的证券基金管理公司,证券公司控制左右资金如何管理的问题,其股东投资入股资金境外资本,社会资本的重要组成部分,参与股市的投资者投资证券公司的市场投资基金和证券律师事务所在金融市场一体化的资金是证券公司加强资金的管理和控制是一个必要的要求,为广大投资者不难看出,不言而喻的重要性和必要性,所以证券公司的基本策略和控制措施的实施将成为亟待解决的问题。
on when the corresponding is interested in the entire financial market produce higher dependence investments during the operation of natural difficulty factor further increase , must have contributed to professional investment philosophy and investment strategies unsustainable, and thus the formation of capital upside crowding . Naturally, the international capital markets mature sophisticated investment management tools such as financial futures , options and swaps , and more unable to get the introduction and promotion of these effective price discovery and hedging functions of the new financial instruments can only be rejected the door.
In this paper, securities fund management company as the research object , securities companies control around how funds management issues, its shareholders' investment shares consisting of funds outside the capital , an important component of social capital to participate in stock market investors to invest in the securities of companies market investment funds and securities law firm of funds in the financial market integration is not difficult to see that securities companies to strengthen management and control of funds is a necessary requirement for the majority of investors , the importance and necessity of self-evident , so how securities firms the implementation of the basic strategies and control measures will become problems to be solved .
This article is based on research in developed countries fund management business for the full analysis and combing and control of securities companies fund management business situation, looking for flaws and weaknesses , and then find out the deep-seated causes and solutions ideas ;
www.51lunwen.org/fm/ and then learn from developed countries fund management business has been operating a mature business processes and practices, improve our securities companies raised funds management business model feasibility study fund management structure designed direction of innovation , to enhance the standardization of fund management business , improve appropriate laws and regulations is to provide the corresponding evidence base ; Finally, according to a case study on the China Merchants Securities to explore the fund management business in China in the future new developments and integrated business systems development .
Based on the theory and practice of combining the principles of financial management , securities industry-related theories and previous research results based on the analysis , through access to literature , comparative studies , case studies and other methods Merchants Securities Company funds management situation unfolding system diagnosis and analysis , and to propose specific solutions and detailed steps . This avenue of research is: through counseling professionals , carefully review the public information, access to first-hand the relevant data access and government website for more regulations and policies implemented , and continue to strengthen all-round communication with the instructor to make timely content and research method adjusted.
This article analyzes deeply the fund management models and methods to fund management and securities companies combine operations , out of mathematical finance research predicament , and establish a new theoretical framework for securities fund management companies , securities companies to maximize the value of funds realization play its due role
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