摘要
为简明清晰阐述资管新规政策的出台及政策影响,通过建立一个简单的数学模型,描述资管新规未来可能产生的作用,主要涉及资管新规过渡期安排、资管新规长短期的监管预期、资管新规对各类金融机构的业务影响、存量资管产品的管理和续接产品的风险管理等,并根据以上内容和问题提出相关政策建议。
To concisely and clearly demonstrate new assets management regulations and its policy influence,by building a mathematical model,the paper explains the future influences the new regulations may bring,which mainly refer to policy transition period arrangements,supervision expectation of long and short term,connection with transactions in various financial institutions,management of inventory assets products,etc.,and accordingly comes up with suggestions.
作者
马甜
MA Tian(North Minzu University,Yinchuan,Ningxia 750021,China)
出处
《山西财政税务专科学校学报》
2020年第3期29-32,共4页
Journal of Shanxi Finance & Taxation College
关键词
资产管理
资管新规
数学模型
风险
监管
assets management
new assets management regulations
mathematical regulations
risk
supervision