本文系统总结了我国主权财富基金(中国投资有限责任公司)主要面临的外部挑战和存在的内生问题,结合当前金融危机基本见底、经济有所回暖的实际情况,就我国主权财富基金如何规避逆向选择、分散市场风险,如何通过借鉴他国主权财富基金的先进经验来完善自身不足等问题提出具体的政策建议。
In the context of the economic rebound after the global financial crisis,this research systematically generalizes both the external challenges and the internal defects of China sovereign wealth fund,and further conducts some specific advices about how to avoid adverse selection,to diversify market risks and to achieve self-promotion through learning from the experience of other advanced SWFs.