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对我国开放式基金的流动性风险及其防范的思考 被引量:1

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摘要 开放式基金作为一种新的金融工具,为持有者提供了更为便利的进入与退出相关整体机制。经营管理开放式基金健康发展的关键在于解决流动性强这个问题。从国外的经验中发现,流动性风险出现的直接原因是巨额赎回行为,而通过积聚流动性也会爆发操作、经营、市场等方面的风险。所以,开放式基金运作当中的全部风险集中表现为流动性风险,而它也是基金管理者进行经营管理时需要解决的首要问题。分析了影响我国开放式基金流动性的因素,提出管理与防范对策。
作者 薛雅琼
出处 《黑龙江生态工程职业学院学报》 2013年第2期42-44,共3页 Journal of Heilongjiang Vocational Institute of Ecological Engineering
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