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Investment Open-end Fund Risk Control

Posted on:2009-04-03Degree:MasterType:Thesis
Country:ChinaCandidate:T WangFull Text:PDF
GTID:2199360248452435Subject:Business Administration
Abstract/Summary:PDF Full Text Request
Against the background of Chinese economy is developing with high speed, taking the thought of system-science as guidance, analyzing and studying the current situation of investment strategy and risk-controlling of OPEN-END FUND in China, and combining the achievement which has been made by foreign advanced countries with our nation's currency. Analyzing and discussing the development, investment and risk-controlling system of LOF in China, and evaluating affections on fund industry by macro & micro factors. Analyzing methods on investment, risk-controlling and scientific decision from shallower to deeper. Connecting investment principle at home and abroad to more mature investment experience, and make this studying link a special fund company to actual transaction. Though an empirical research, working out the research finds which concentrated by scientific and practicability, and this finding will be helpful for most investors to learn more about the rule of fund-market, build up rational investing & anti-risk concept, master basic investment method, make logical investment planning, avoid investing loss, protect investor's benefits, make more investors gain more property incomes, and share the great success which brought by open-reforming policy and fund industry's developing.
Keywords/Search Tags:Open-end fund, investment, risk-guard, controlling, decisionmaking-method
PDF Full Text Request
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