国家主导的风险投资作为资本主义国家主导的风险投资
1University of Waterloo, Canada.
概括
本研究通过探讨其理论基础,通过加拿大商业开发银行进行实际实施,以及它与资本主义公共所有权动态的关系,对国家主导的风险资本 (SVC) 进行了研究.
科学领域:
- 经济学 经济学 经济学
- 公共政策 公共政策
- 金融 金融 金融 金融 金融
背景情况:
- 国家主导的风险投资 (SVC) 是经济发展越来越感兴趣的领域.
- 了解SVC的动机,机制和结果对于政策制定者来说至关重要.
- 现有的研究往往缺乏一个全面的框架来分析SVC.
研究的目的:
- 使用国家理论分析国家主导风险资本 (SVC) 的"为什么".
- 通过检查加拿大商业开发银行来调查SVC实施的"如何".
- 通过资本主义公共所有权动态的透视来探索SVC的"什么".
主要方法:
- 基于状态理论的理论分析.
- 加拿大商业开发银行发展的案例研究.
- 检查资本主义公共所有制模式.
主要成果:
- SVC是由与经济发展和市场调整有关的国家目标驱动的.
- 加拿大商业开发银行 (Business Development Bank of Canada) 阐述了 SVC 提供中的适应性策略.
- 资本主义的公共所有权影响着SVC的形式和功能.
结论:
- 要了解SVC,需要采用多方面的方法.
- 状态理论为分析SVC动机提供了一个有价值的镜头.
- 加拿大案例提供了对SVC运营和公共所有权影响的见解.
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