摘要
本文分析了风险投资管理过程中代理风险的产生原因 ,提出了加强后续管理、增加信息透明度等防范代理风险的方法。通过建立创业者和投资者的收益矩阵 ,增加约束条件 ,使双方期望效用最大化 ,为从根本上防范代理风险提供新的思路。
The paper provides some methods of the guarding against the risk from agent for the venture investment, such as enhancing the subsequent management or adding the information transparency, by analyzing the causation for the risk from agent for the venture investment management. It supplies some new thinking which can guard against the risk from agent by establishing a income matrix in the founder and the investor, which increase restriction terms, so as to maximize the both expectation avail.
出处
《科研管理》
CSSCI
北大核心
2002年第5期99-103,共5页
Science Research Management
基金
本项目受国家科技部软科学项目 (编号 :Z0 10 2 8)资助。