论文部分内容阅读
近年来我国证券投资基金的快速发展,已成为证券市场中重要的投资主体。与此同时基金业也暴露出许多问题,其中基金加剧股市波动尤其引人关注,可以说基金并非完全坚持价值投资理念。本文利用经济相关理论建立了基金价值投资模型,分析了基金非完全价值投资行为的原因,最后提出了促使基金坚持价值投资理念的相关建议。
In recent years, the rapid development of China’s securities investment funds has become an important investment body in the stock market. At the same time, the fund industry has also exposed many problems. Among them, the fund-raising volatility in the stock market is of particular concern. It can be said that the fund does not completely adhere to the concept of value investing. In this paper, we use the economic theory to establish the fund value investment model, analyze the reasons of the fund’s non-full value investment behavior, and finally put forward some suggestions to promote the fund’s adherence to the concept of value investment.