Liquidity Risk Management of Mutual fund in China
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F830.59

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    Abstract:

    The paper analyzes the dilemma of mutual fund's liquidity risk management, brings forward the liquidity reserve model and discusses the practicality of the model. On the basis of the model, the paper combines the current market environment of mutual fund's liquidity risk management in China and puts forward the relevant resolvent and some policy advice.

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刘斌,段特奇,徐腾.中国开放式证券投资基金的流动性风险管理[J].重庆大学学报,2004,27(2):154~156

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  • Received:
  • Revised:October 20,2003
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