摘要
本文通过考察香港保本基金的销售情况与风险收益特征,总结其投资方案与运作模式,揭示其发展情况与股市的关系,对发展我国保本基金有若干启示。
Through a review of the sales and risk/earnings character of Principal Fund Management (Hong Kong) Limited and its investment plan and operating model, the author tries to clarify the correlation of the fund and stock market, on which his proposals are based regarding developing principal fund in China.
出处
《证券市场导报》
北大核心
2005年第10期63-66,共4页
Securities Market Herald