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强监管对资产管理行业的影响

作者:袁路 出版日期:2018年07月 报告页数:16 页 报告大小: 报告字数:11657 字 所属丛书:中国建投研究丛书·论文系列 所属图书:建投投资评论(2018年 第一期 总第8期) 浏览人数: 下载人数:

文章摘要:随着金融强监管周期的开启,资产管理行业的统一监管也拉开序幕。自2017年以来,监管政策进入密集发布期,资产管理行业各类业务发展环境都发生了极大变化。此外,行业强监管的趋势对其总体风险和创新意愿等也产生了深远影响。在这种情况下,资产管理行业会呈现与以往不同的发展趋势。

Abstract:With the opening of the strong regulatory cycle,the unified regulation of asset management has also begun in China. The regulatory policy which has entered a period of intensive release since 2017 has brought great changes to various business of the asset management industry. In addition,the trend of strong supervision has a far-reaching impact on overall risk and innovation willingness. Under such circumstances,asset management in... 展开

Abstract:With the opening of the strong regulatory cycle,the unified regulation of asset management has also begun in China. The regulatory policy which has entered a period of intensive release since 2017 has brought great changes to various business of the asset management industry. In addition,the trend of strong supervision has a far-reaching impact on overall risk and innovation willingness. Under such circumstances,asset management industry will show different trends from the past.

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作者简介

袁路:袁路,经济学博士,现任中建投信托研究创新部门负责人。