摘要
当前中国主权财富基金的发展牵涉到国与国之间的国家与市场关系,这其中既充满合作也带有竞争。从相互依存理论的角度出发,探讨中国主权财富基金从成立至今在政治与经济层面所获得的正面效益以及所遭遇的诸多问题,以对其未来发展提供参考借鉴。中国主权财富基金应通过对国外主权基金进行适度的防范、建立国际化人才培养机制、完善风险控制机制以及继续增加透明度等措施,对所面临的问题进行有针对性的改进,以使中国主权财富基金发挥更积极的影响。
The current development of sovereign wealth funds of China covers the relationship between markets and states.Competition and cooperation have been involved in this processing.From the perspective of the interdependence theory,this paper analyzes current situation and development of sovereign wealth funds of China.At the same time,the paper puts forward some corresponding tactics to its development in the future.Therefore,sovereign wealth funds of China must have better future in the following fields,such as,investment mode,internal management and strengthen supervision.Moreover,sovereign wealth funds of China will play positive impact in the world,and create better investment performance.
出处
《北京化工大学学报(社会科学版)》
2012年第2期14-18,共5页
Journal of Beijing University of Chemical Technology(Social Sciences Edition)
基金
山东省社科规划项目"中国主权财富基金发展战略研究"(项目编号:11BJYJ18)的部分成果
关键词
主权财富基金
相互依存理论
中国投资有限责任公司
投资策略
风险控制
外部治理
sovereign wealth funds
interdependence theory
China Investment Corporation
investment strategy
risk control
exterior governance