首页--经济论文--财政、金融论文--金融、银行论文--中国金融、银行论文--金融市场论文

中国开放式基金公司择时与选股能力实证研究

Acknowledgement第6-7页
Abstract第7-10页
Chapter One Environment of China's securities market第11-16页
Chapter Two Background knowledge第16-20页
    2.1 value investment第16-17页
    2.2 Automatic investment plan第17-18页
    2.3 Comparison of open-end fund and closed-end fund第18-19页
    2.4 Characteristics of stock open end fund第19-20页
Chapter Three Review of literature第20-27页
    3.1 Overseas research第20-21页
    3.2 Domestic research第21-27页
Chapter Four Date and Analysis第27-35页
    4.1 Framework第27-30页
    4.2 Source of Data第30-32页
    4.3 Result第32-35页
    4.4 Conclusion第35页
Chapter Five Analysis and Suggestion on fund investment in China第35-43页
    5.1 Analysis of internal factors restricting the ability of security selection and active asset allocation of China's securities investment fund第35-38页
        5.1.1 Analysis of Fund Company's own factors第35-36页
        5.1.2 Analysis of the fact of fund manager第36-38页
    5.2 Analysis of the external factors restricting ability of stock selection and active asset allocation of China's securities investment fund第38-43页
        5.2.1 Analysis of institutional factors第38-39页
        5.2.2 Analysis of the market factors第39-42页
        5.2.3 Analysis of the factor of fund investor第42-43页
Chapter Six some suggestions for improving ability of stock selection and market timing of China's fund第43-44页
    6.1 Accelerate the construction of the securities market and optimize the investment environment第43页
    6.2 Establish the concept of expert financial management, and improve the investment management of Fund Company第43-44页
    6.3 Improve the fund management structure to reduce the moral hazard of fund managers第44页
Bibliography第44-48页

论文共48页,点击 下载论文
上一篇:在线医疗平台医师受访量影响因素分析--以好大夫在线为例
下一篇:隐马尔可夫模型在量化交易中的应用原理及其现实意义探究