摘要
运用大系统的理论和方法,按照区域风险投资协调发展的总体目标要求及风险投资系统自身的协调发展规律,从宏观角度出发,探讨风险投资系统协调发展的控制途径。通过运用协调发展指数模型、协调预测模型、协调控制模型等一系列数学模型,对协调发展的现状和趋势进行定量评价、预测与控制,以促进区域风险投资系统的进一步协调发展。
According to the general goal and law of coordinate development of the regional venture capital system, control ways for coordinate development of the regional venture capital system are discussed by applying the theory and method of large-scale systems. A series of relevant mathematical models,including coordinate development index model,coordinate forecast model and coordinate control model,are set up. They can be used to appraise ,forecast and control quantitatively for the present and future of coordinate development, in order to promote the continuous development of the regional venture capital system.
出处
《科技进步与对策》
CSSCI
北大核心
2007年第1期87-90,共4页
Science & Technology Progress and Policy
关键词
风险投资
区域经济
协调发展
协调控制
venture capital
large-scale systems
coordinate development
coordinate control