俄罗斯共同基金市场的发展

Y. Lukashin, I. Lukashin
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引用次数: 5

摘要

目的-本文的目的是描述俄罗斯共同基金(MF)市场的发展,提出并应用管理质量统计分析的方法,评估市场的盈利能力和风险。设计/方法论/方法-适用于统计研究:描述性统计、相关分析、回归分析、聚类分析、评级、转移概率、最优投资组合理论。调查结果-俄罗斯相互市场在数量和净资产总值上都在增长。市场的盈利能力和风险都很高。研究局限性/影响-统计研究完成于2004 - 2006年的数据。▽实际意义=调查结果对投资者和基金管理人员都有帮助。原创性/价值——本文尝试对俄罗斯MF市场进行统计调查,分析其盈利能力和风险,对MF进行分类和评级,并分析评级稳定性。
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The development of mutual fund market in Russia
Purpose – The purpose of this paper is to describe development of Russian mutual fund (MF) market, to suggest and apply methodology of statistical analysis of management quality, to evaluate profitability and risks of the market. Design/methodology/approach – Statistical research applies: descriptive statistics, correlation analysis, regression analysis, cluster analysis, ratings, transition probability, optimal portfolio theory.Findings – Russian mutual market is growing both in number and in aggregate value of net assets. Profitability and risks of the market are high.Research limitations/implications – Statistical research was fulfilled on the data for 2004‐2006.Practical implications – The results of the investigation are useful for investors and for managers of the funds.Originality/value – The paper represents an attempt of statistical investigation of Russian MF market, its profitability and risks, classification and rating of MFs and analysis of rating stability.
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