摘要
本文旨在通过分析和总结危机后全球主权财富基金资产配置和投资策略的变化及其发展的新趋势,为中国主权财富基金资产配置和投资策略的制定提供借鉴,同时也为今后中国主权财富基金的发展提供了方向性指引。
This article examines new trends in investment strategy and asset allocation of global sovereign wealth funds in the post-financial crisis era. It also makes suggestions that could prove useful for the future development of China's own sovereign wealth funds.
出处
《金融市场研究》
2017年第6期45-58,共14页
Financial Market Research
关键词
次贷危机
主权财富基金
资产配置
投资策略
Subprime Mortgage Crisis, Sovereign Wealth Fund, Asset Allocation, Investment Strategy