在此基础上结合中国现阶段对开放式基金进行流动性风险管理所面临的市场环境,提出了相应的流动性风险管理方法以及帮助基金公司规避流动性风险的有关政策建议。
On the basis of the model, the paper combines the current market environment of mutual fund's liquidity risk management in China and puts forward the relevant resolvent and some policy advice.
在此基础上结合中国现阶段对开放式基金进行流动性风险管理所面临的市场环境,提出了相应的流动性风险管理方法以及帮助基金公司规避流动性风险的有关政策建议。
On the basis of the model, the paper combines the current market environment of mutual fund's liquidity risk management in China and puts forward the relevant resolvent and some policy advice.
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