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近两年来,银行理财业务不断通过理论与实证分析相结合的方法积极参与资本市场的投资与研讨这一业务对银行业务的绩效影响。理论分析方面,由银行自身的发展规律与美林投资钟模型的规律做一系列的研究,实证方面,通过2014~2015年的周业务经营数据,由向量模型的方法进行研究。本文最后表达了参与资本市场的业务将成为银行经营的大势所趋的发展历程,并提出一系列的政策性意见。
In the past two years, the Bank’s wealth management business has been actively involved in the investment and research in the capital markets on the performance of banking business through the combination of theoretical and empirical analysis. In theoretical analysis, a series of researches are made on the law of bank’s own development and the law of Merrill Lynch’s investment bell model. In the empirical aspect, the weekly business management data from 2014 to 2015 are used to study the method of vector model. At the end of this article, I expounded that the businesses involved in the capital market will become the development course of the trend of bank management and put forward a series of policy opinions.