摘要
随着QDII政策的逐步推进,国内的证券经营机构将走出国门迎接国际金融市场洗礼,而复杂的国际环境决定了他们必将面临前所未有的风险控制挑战。本文主要分析跨国经营中诸多风险之一———国家风险的控制问题,并从微观和宏观两个方面提出相关策略建议,以期对相关机构有所启示。
The policy of QDII is being carried into execution, so Chinese securities investment organizations will have chances to operate the their business in international financial markets. In the meantime, they will be confronted with many international risks that can affect their outstanding achievement, it is important to control the risks. This paper mainly discusses the national risk and brings forward some relevant advices from macro and micro aspect.
出处
《安徽广播电视大学学报》
2005年第3期30-32,共3页
Journal of Anhui Radio & TV University
关键词
证券投资
跨国经营
国家风险控制
securities investment
transnational management
national risk control
作者简介
肖文(1977-),男,苏州大学商学院世界经济专业硕士研究生。研究方向:国际经济合作。