我国发展风险投资业应采取的若干对策 |
| |
引用本文: | 牛莉.我国发展风险投资业应采取的若干对策[J].辽东学院学报(社会科学版),2000(6). |
| |
作者姓名: | 牛莉 |
| |
作者单位: | 共青团丹东市委员会 |
| |
摘 要: | 风险投资在我国还是一种新生事物。虽已有发展 ,但尚未形成规模。文章从四个大方面详尽阐述了为进一步发展我国的风险投资业所应采取的相应对策 :发挥政府主导作用 ;完善风险投资机制 ;开辟风险投资资金来源 ;建立风险投资退出机制等等。旨在通过政府有效的宏观经济管理 ,创造一个良好的环境 ,最终使风险投资由国家的政策导向性投资行为 ,成功地转变为一种以民间投资为主 ,为获得资本高收益率的商业投资行为 ,促进我国风险投资业不断发展壮大。
|
关 键 词: | 风险投资 政府采购 二板市场 退出机制 |
Countermeasures for the Development of China's Risk Investment Industry |
| |
Abstract: | Risk investment is a new being in China.Though it has been developing considerably,it hasn't yet developed into its full scale.This article,from four aspects,expounds the relevant countermeasures for further development of China's risk investment industry:to exercise the government dominant role;to make the risk investment mechanism perfect;to open new sources of risk investment;and to establish the withdrawal mechanism from risk investment,etc.The purpose of doing this is,through the effective government macroeconomic management,to create a good environment and to realize the successful transfer from national political investment to private investment so as to achieve a high capital-income ratio and to promote China's risk investment. |
| |
Keywords: | risk investment government purchase secondary market withdrawal mechanism |
本文献已被 维普 等数据库收录! |
|