Author: Zhang Hongtao
Publisher:
Publish Date: 2005-04-01
Features: This book focuses on introducing and analyzing the relevant theories and specific investment tools of insurance fund management. Based on the characteristics of insurance fund management, it studies the theories of asset-liability management, asset portfolio management, and risk management in insurance fund management. According to the current main investment tools of insurance funds, it explores bond investment, fund investment, stock investment, bank deposits, and non-liquid asset investment separately. It strives to provide readers with a comprehensive understanding of insurance investment from an international and practical perspective in China's insurance fund management. The book introduces both qualitative analysis methods and quantitative analysis tools, making it highly theoretical, readable, and practical.
Insurance Fund Management
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