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世界金融危机背景下我国外汇储备管理研究:基于管理收益的思考
Authors
喻海燕
朱孟楠
Publication date
1 October 2009
Publisher
经济学家编辑部
Abstract
外汇储备规模的不断增大,对一国外汇储备管理目标、管理策略和投资方式等都会产生重要影响。基于追求储备管理收益性目标的考虑,近年来各国政府纷纷对本国外汇储备投资采取了更加积极的态度,但全球金融危机的爆发又给各国储备资产造成了巨大损失,对各国储备管理增加了困难。全球金融危机到底对我国外汇储备投资产生了什么影响?我国外汇储备投资究竟是亏损还是收益?思考这些问题,客观评价我国外汇储备管理效益,进而改革外汇储备管理机制,意义非常重大。本文从实证角度对我国外汇储备投资收益和成本进行了分析,计算了目前我国外汇储备投资管理的净收益,并对今后的投资策略与改革提出了建议。国家社科基金项目“中国外汇储备风险测度及管理研究”阶段性研究成果,项目批号:07BJY157;; 教育部新世纪优秀人才资助计划(NCET-08-0476)资助项目:“全球金融危机下中国外汇储备管理研究”的阶段性成果
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Xiamen University Institutional Repository
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oai:dspace.xmu.edu.cn:2288/859...
Last time updated on 16/06/2016
Xiamen University Institutional Repository
See this paper in CORE
Go to the repository landing page
Download from data provider
oai:dspace.xmu.edu.cn:2288/472...
Last time updated on 16/06/2016