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dc.contributor.author朱孟楠zh_CN
dc.contributor.author胡潇云zh_CN
dc.date.accessioned2013-06-26T02:36:50Z
dc.date.available2013-06-26T02:36:50Z
dc.date.issued2011-11-05zh_CN
dc.identifier.citation经济学家, 2011,,No.155 (11): 13-21zh_CN
dc.identifier.urihttps://dspace.xmu.edu.cn/handle/2288/26036
dc.description.abstract本文对主权财富基金的投资风险进行了鉴别和分类,借鉴评级评分法和风险测度方法,构建了具有可操作性的"主权财富基金投资风险三因素评估体系(CSC Assessment System)",并以中国投资有限责任公司的投资为例对该体系进行了演绎。zh_CN
dc.language.isozhzh_CN
dc.source.urihttp://epub.cnki.net/grid2008/brief/detailj.aspx?filename=JJXJ201111004&dbname=CJFQ2011zh_CN
dc.subject主权财富基金zh_CN
dc.subject风险识别zh_CN
dc.subject风险评估zh_CN
dc.subject风险控制zh_CN
dc.title我国主权财富基金投资:风险识别与风险评估体系设计zh_CN
dc.typeArticlezh_CN


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