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金融证券管理模式的现实意义Financial and securities management practical significance

论文作者:www.51lunwen.org论文属性:短文 essay登出时间:2013-10-30编辑:yangcheng点击率:6076

论文字数:1334论文编号:org201310282337526626语种:英语 English地区:中国价格:免费论文

关键词:金融管理证券管理证券监管

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。

作为一家证券公司管理的资本管理是金融理论的重要组成部分,是一个非常重要的元素,但目前可用的金融理论中,基金及其管理研究的理论是非常有限的。一般意义上的数学推导的筹资战略主要是缺乏先进的管理理念和方法的验证和指导的结果,这篇文章的基调是从多视角深度分析的方法来改善财务管理及资金管理的角度,证券公司的业务结合起来,超越了金融数学和建筑相关的证券基金管理公司对抗系统的局限性的束缚。

Capital management as a securities company management is an important component of financial theory is a very important element, but the currently available financial theory, the theory of the funds and their management research is very limited. General sense of mathematical deduction funding strategy is mostly the result of the lack of advanced management concepts and methods of verification and guidance , the tone of this article is from the perspective of multi-view depth analysis of ways to improve financial management and fund management and securities companies operations combine to transcend the shackles of mathematical finance and limitations of building -related securities fund management company countermeasures system .


由于证券业务本身的特点所决定的,证券公司证券营业网点遍布全国部分,证券公司的财务管理带来了很多问题,目前证券行业规范的情况,也没有构成一个统一的财务管理理论和方法。目前,证券公司实现集中清算证券交易,证券公司的财务管理也逐渐转化为总部的财务部门,业务部门的财务状况的功能逐步减弱。

Because securities business characteristics of the decision itself , as securities companies securities business branches scattered throughout the country part , to the financial management of securities companies has brought a lot of problems , the current from the securities industry norms situation, there is no constitute a unified financial management theory and methods. Currently securities companies have achieved centralized clearing securities transactions , the securities company's financial management is also gradually transformed into the headquarters finance department , business department of the gradual weakening of the functions of the financial position . For securities fund management company's scope of customer transactions , the current practice is generally the funds deposited with third parties , that is, the relative independence of the third party ( bank ) to keep , you can ensure that their customer transactions settlement funds higher safety factor . And now more and more through the backdoor listing of securities companies , IPO until the form of access to capital markets , how to raise funds , how the funds raised with reasonable cause problems have become increasingly prominent . Under normal circumstances , the securities company does not take inventory , accounts receivable occupied question, then , of securities companies how to effectively use the resulting funds to maximize the value of funds for the realization of securities firms play its due role, it has very significant practical significance.


西方国家和发展资本市场的情况是非常不同的,我们目前的资本市场有其自身的特点,主要是:系统性风险是非常明显的,这种演变缺乏有效的对冲工具和应对机制。这种现象的持续存在将不可避免地导致的严峻形势是这样的:对于投资的风险投资机构来衡量和量化不确定性,但无法评估标准点损失。

Western countries and the development of the capital market situation is very different , our current capital market has its own characteristics , mainly they are : systemic risk is very obvious, and this evolution of the lack of effective hedging instruments and coping mechanisms. The persistence of this phenomenon will inevitably lead to the grim situation is this: For the investment risk investment institutions to measure and quantify uncertain , but impossible to assess the standard point loss . In the face of the amount of funds held by the company or fund management business saw a significant expansion of the scale of the situati论文英语论文网提供整理,提供论文代写英语论文代写代写论文代写英语论文代写留学生论文代写英文论文留学生论文代写相关核心关键词搜索。

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