论文部分内容阅读
文章从三个方面对“对冲基金”进行了综述和评论。作者认为,对冲基金的投机心理、超常规杠杆效应战略以及牟利不计后果的行为,是它最本质的特征。而其金融风险虽不可一概而论,但那些大额的高杠杆比率的对冲基金,确确实实地成为了世界金融动荡之源。对其加强监管,是金融国际化的需要,也是世界经济一体化的要求
The article reviews and comments on “hedge funds” from three aspects. The author believes that hedge fund speculation, unconventional leverage effect strategy and profit-making reckless behavior is its most essential feature. Although their financial risks can not be generalized, those large hedge funds with high leverage ratios have indeed become the source of world financial turmoil. To strengthen its supervision is the need of financial internationalization as well as the requirement of world economic integration