我国基金业治理模式研究及政策建议
发布时间:2018-03-20 19:21
本文选题:基金治理 切入点:治理结构 出处:《复旦大学》2012年硕士论文 论文类型:学位论文
【摘要】:我国基金业伴随着资本市场走过了十多年的发展历程,获得了长足发展。然而作为行业发展的基石,基金治理水平一直以来没有得到显著提高,困扰着我国基金业的健康发展。在经历上轮大牛市快速扩张后,资本市场进入漫长熊市,我国基金业逐渐步入发展瓶颈期,基金业治理以及由此引发的一系列问题表现的越来越明显。基金治理研究越来越凸显重要意义,本文从分析目前国内基金业的生态环境、基金治理存在的问题入手,综合运用比较分析的方法,结合海外成熟市场基金治理的成熟经验,对我国基金业在基金组织形式、治理结构、治理机制、治理环境等方面提出一些政策建议。
[Abstract]:The fund industry of our country has gone through more than ten years with the development of the capital market, and has made great progress. However, as the cornerstone of the industry development, the level of fund governance has not been significantly improved. After the rapid expansion of the last bull market, the capital market has entered a long bear market, and the fund industry has gradually stepped into the bottleneck period of development. The governance of fund industry and a series of problems caused by it are becoming more and more obvious. The research of fund governance is becoming more and more important. This paper begins with the analysis of the ecological environment of the domestic fund industry and the problems existing in fund governance. By using the method of comparative analysis and combining the mature experience of fund governance in overseas mature market, this paper puts forward some policy suggestions on fund organization form, governance structure, governance mechanism, governance environment and so on in China's fund industry.
【学位授予单位】:复旦大学
【学位级别】:硕士
【学位授予年份】:2012
【分类号】:F832.51
【参考文献】
相关期刊论文 前1条
1 刘传葵 ,高春涛;契约型与公司型、公募与私募之基金治理结构比较——兼谈我国证券投资基金治理结构的改善[J];浙江金融;2002年10期
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