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Management Research Of Collective Asset Management Plan

Posted on:2012-11-14Degree:MasterType:Thesis
Country:ChinaCandidate:H W ZhongFull Text:PDF
GTID:2219330368495332Subject:Business Administration
Abstract/Summary:PDF Full Text Request
At present, China's asset management business of securities companies especially the collection of financial business is a period of rapid development, residents increasing investment demand for the brokerage business development brought unlimited opportunities, but also presents a development process many problems, such as information disclosure is not perfect, the expenses system, risk control is not strict and so opaque. Want to change this a series of problems, must be through the collection of financial products broker management level the research can give insight into a financial products from the establishment to sales and a series of problems, to grasp the product investment ideas, improve the management level, strict risk control and management.This combination of Societe Generale Securities Kirin 1 collection asset management plan is actual, adopt normative research and case study, combining theoretical research and empirical methods combined, to our collection of financial products broker's development present situation has carried on the analysis, pointed out that China's collection of financial products broker development and existing problems in the management of, and puts forward relevant policy suggestions. Through this research, obtained the following conclusions:first, the securities company as manager, should be in product variety, the portfolio from Kung Fu, to enrich the product line to meet the different needs of customers, innovation is the power that the company expands ceaselessly; second, a collection of financial products broker to make the full advantage of played out, the most important point is to combine the internal selection and external recruitment to build a high level and high level management team; third, financial product differentiation strategy can be characterized better meet their different risk management needs; fourth, to reform the existing fixed management fee system, allowing flexible management cost plan carry, in order to improve the management of human management initiative, for investors to create the most value; fifth, strengthen the collection of financial products broker information disclosure regulation, formulate collection of financial products broker contents and formats of information disclosure by the preparation of standards, actively develop the collection of financial products broker the third party evaluation mechanism.
Keywords/Search Tags:Collective asset management plan, Management, Investment, risk
PDF Full Text Request
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