多元化风险管理
多元化风险管理
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第四部分为基于风险最小化的养老基金组合投资策略分析,和对整体风险的控制与管理,包括多元化投资风险管理机制的构建和配套制度的建设。关键词:养老基金;
The fourth part analyses the method of management of fabricate risks and whole risk .
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因此,中国应该建立一个多层次、多元化的外汇储备风险管理框架,有效降低或分散外汇储备资本化的风险,实现风险约束下的外汇储备保值增殖,促进中国、美国乃至全球经济的和谐发展。
Therefore , China should establish a multi-tier and diversified foreign reserve risk management framework to mitigate or diversify away the excessive foreign reserve risks , and facilitate the harmonized development in China , United States and even global economy via value-assurance-and-enhancement of foreign reserves under risk constrains .