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我国保险投资组合研究

A Study on the Insurance Portfolio in China

【作者】 张艳

【导师】 刘荣茂;

【作者基本信息】 南京农业大学 , 金融学, 2003, 硕士

【摘要】 本文以保险资金的运用为研究对象,运用理论研究和实证分析相结合的方法,在具体分析时综合运用风险—收益理论、投资组合理论以及投资决策理论分析适合我国保险业的投资方式,并通过建立投资组合模型,用数学规划的方法分析了我国保险资金的投资组合情况,得出相关结论。用比较分析的方法,分析国际保险投资的趋势,我国与几个主要发达国家在保险资金运用上的差异,发达国家在保险资金运用上的成功经验以及可资借鉴的地方。 文章正文大致分为六个部分。 第一部分即第二章,主要是保险投资理论研究。介绍了风险-收益理论、资产组合理论以及现代投资理论中的资产负债管理理论、投资组合管理理论和投资风险管理理论在保险投资中的运用,分析了保险投资的组合情况。 第二部分即第三章,主要对美、日、韩国及台湾地区的保险投资组合进行了分析,研究了他们各自的特点,总结其成功的经验。 第三部分即第四章,回顾了我国保险投资的历史,分析了我国保险投资组合的现状以及风险情况,总结出投资的特征。 第四部分即第五章,对影响我国保险投资的因素进行了分析。认为主要影响因素有,政策法律因素、经济因素、内部管理及人力资源因素等。 第五部分即第六章,研究了适合我国的可能的投资方式,有债券、股票、不动产、贷款等,并对我国近年保险投资收益和风险进行了分析研究,通过建立保险资金投资组合模型,进行实证分析,确定在不同预期收益下合适的投资比例。 第六部分即第七章,对完善我国保险投资提出对策建议。

【Abstract】 This paper faces to the problem of the utilization of insurance fund. It adopts the method that combines the theory study and qualitative analysis. It uses the risk-profit theory, portfolio theory and investment policy decision theory when analyzing the investment pattern fit for our country’s insurance. Establishing the portfolio model, analyzing our insurance capital’s portfolio by means of mathematical program and drawing the relevant conclusions. It compares the utilization of insurance fund between our country and other countries, analyzes the international trend of insurance invest and the successful experience on the utilization of insurance fund in developed countries.The paper’s main body includes six sections.The first section researches on the theory of insurance investment. Introducing risk-profit theory, portfolio theory and modern investment management theory, includes property-debt management theory, portfolio management theory and invest risk management theory. And analyzing the insurance portfolio.The second section studies on the insurance portfolio abroad and their features, summarizes their successful experience.In the third section, it reviews the history of insurance investment in our country, analyzes the present conditions and risks and summarizes the features.The fourth section analyzes the factors influencing our insurance investment, includes policy and law, economy basis, interior management and persons of ability.The fifth section discusses the probable investment ways in our country. Analyzing the profit and risk of insurance investment in our country recent years. It establishes insurance portfolio model, calculates the proper proportion at different expecting profit.The sixth section puts forward the suggestions on improving our insurance investment.

  • 【分类号】F842
  • 【被引频次】3
  • 【下载频次】522
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