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谢伏瞻
    中国社会科学院学部委员,学部主席团主席,研究员,博士生导师。历任中国社会科学院院长、党组书记,国务院发展中心副主... 详情>>
蔡 昉
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李培林
    男,汉族,出生于1955年5月,山东济南人,博士,研究员,全国人民代表大会社会建设委员会副主任委员,中国社会科学... 详情>>

    2018年资产管理行业发展趋势分析与展望

    摘要

    2017年,在强金融监管政策环境下,我国资产管理行业出现明显调整和分化。从全球资产管理业务发展趋势看,“被动投资”的概念在国外已被广泛接受,增长迅速;智能投顾逐渐成为全球资管行业的热点,增长迅猛。展望2018年,在强金融监管的环境下,我国资产管理行业将加速回归本源,资产管理行业将继续分化,重塑新的格局;随着我国深化投融资体制改革、资本市场不断完善和发展,将有更多支持实体经济发展的创新资产管理产品在国内市场出现,给我国资产管理行业带来广阔的发展前景。

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    Abstract

    In 2017,under the environment of strong financial supervision and regulation,China's asset management industry has been obviously adjusted and differentiated.From the development trend of global management,the concept of passive investment is widely accepted in foreign countries and has increased rapidly.At the same time,smart investment has gradually become a hotspot of global information management industry,the rapid growth of.Looking forward to 2018,China's asset management industry will accelerate the return of its source,and the development of management will continue to differentiate and reinventing the new pattern.With China's deepening of investment and financing system reform and the continuous improvement and development of capital market,there will be more innovative asset management products supporting the development of real economy in the domestic market,which will bring broad prospects for China's asset management industry.

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    作者简介
    祝伟清:中国建投投资研究院副秘书长、高级研究员
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