主权财富基金管理有效性分析

A. Mikheeva, A. Petrova
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引用次数: 0

摘要

本文考虑了在俄罗斯联邦、中国、哈萨克斯坦共和国和蒙古的跨境领土上建立的主权财富基金的管理。主权财富基金在全球金融市场中占有重要地位,这表明了对这些金融和经济活动机构进行研究的相关性。本研究的目的是评估主权财富基金的管理效率。本文研究的对象是主权财富基金,研究的主题是主权财富基金的管理。本文采用的研究方法有跨国比较分析法、结构分析法和系统分析法。研究结果表明,中国主权财富基金的管理效率高,哈萨克斯坦基于挪威模式的长期基金管理政策具有优势,蒙古基金的活动缺乏透明度。建议将有利可图的风险资产纳入俄罗斯主权基金的投资组合,以提高其盈利能力。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Analysis of the Effectiveness of Management of Sovereign Wealth Funds
The paper considers management of sovereign wealth funds established in the countries located in the transboundary territories of the Russian Federation, China, the Republic of Kazakhstan and Mongolia. Sovereign wealth funds have gained great importance in the global financial market, which indicates the relevance of the study of these institutions of financial and economic activity. The purpose of this research is to assess the efficiency of management of sovereign wealth funds. The objects of research are sovereign wealth funds, the subject of research is management of these funds. The methods of research used in the article are comparative cross-country analysis, structure analysis and systematic approach. As a result of the study, it was concluded that the management of China's sovereign wealth funds is highly efficient, Kazakhstan's long-term fund management policy based on the Norwegian model is advantageous, and the activities of Mongolian funds show lack of transparency. A recommendation is given to include profitable risk assets in the portfolio of a Russian sovereign fund in order to increase its profitability.
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