摘要
主权基金作为国家财富的投资工具,对一国的国际收支平衡和社会保障起着重要作用。在各国主权基金逐步深入国际金融市场的趋势下,中国选择成立自己的主权基金,是中国巨额外汇储备管理的新突破。然而,当前全球经济正遭受金融危机,加上中国本身缺乏国际金融投资经验,中国主权基金需要借鉴国际上较为优秀的主权基金运作方法,并探索出一套适合中国的管理模式,这对维护我国外汇安全具有重要的战略意义。
As the investment tool of the nation's wealth, the sovereignty fund is playing an important role of one country's international balanced payment and the society guarantees. Under the trend of current sovereignty funds gradually permeate international financial market, China has to establish its own sovereignty fund to help manage the foreign exchange reserves, and that is an improvement of management of China's huge sum of foreign exchange reserves. However, the international financial market is suffering subprime mortgage crisis, and China lacks investment experience in the international finance market, so, China's sovereignty fund needs to absorb the operation experience of other sovereign funds, and pay attention to choosing the investment strategy and the management mode. This is very important to the safety of our Foreign exchange reserves.
出处
《河南师范大学学报(哲学社会科学版)》
CSSCI
北大核心
2009年第6期69-71,共3页
Journal of Henan Normal University(Philosophy and Social Sciences)
关键词
主权基金
运作模式
投资策略
Sovereignty Fund
mode
strategic investment