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产业背景的金融国企作为金融业的重要力量,如何通过混合所有制改革进一步释放发展潜力,是一个值得探讨的重要问题。本文认为,这需要在“混改”中将国家政策导向、经济规律、企业自身特点三者充分结合(“三结合”),才能较好的实现改进公司治理、利用好市场机制等“混改”目的。本文按照“三结合”分析思路,以国有背景财务公司为例,具体探讨了在“混改”中如何处理好与母集团关系、利润分享、内部信息保密、选择外部投资者的方向等实际问题,为产业背景金融国企优化“混改”方案设计提供了例证参考。
As an important force in the financial industry, how to further release the development potential through mixed ownership reform is an important issue to be discussed. This paper argues that this needs to be fully integrated (“triple combination”) with the guidance of national policies, economic laws and the characteristics of enterprises in the “mixed transformation” so as to better achieve the goal of improving corporate governance and making good use of market mechanisms Other “mixed change ” purpose. This paper, based on the idea of “triple combination ”, takes the state-owned background finance company as an example to discuss specifically how to handle the relationship with the parent group, profit sharing, the confidentiality of internal information and the selection of external investors Direction and other practical issues for the industrial background of financial state-owned enterprises optimize “mixed change ” program design provides an example of reference.