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股价收益
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  “股价收益”译为未确定词的双语例句
     Distribution and Time Series Analysis of the Returns of Shanghai and Shenzhen Composite Indices
     沪深股市股价收益的分布与时序分析
短句来源
     This paper conducts an empirical study on the relationship between stock returns, risk, and corporate from the industry perspective in the Chinese stock market.
     对A股上市公司的业绩和股价行为月特征进行了分行业的统计分析,检验了业绩、股价收益及风险的行业效应,并对股份收益与公司业绩、风险分别进行了相关性分析和回归分析。
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  相似匹配句对
     Distribution and Time Series Analysis of the Returns of Shanghai and Shenzhen Composite Indices
     沪深股市股价收益的分布与时序分析
短句来源
     4. the factor of profit;
     4、收益因素;
短句来源
     Historical Highest Price, Investor Behavior and Stock Return: the Empirical Study on Chinese Stock Market
     股价前期高点、投资者行为与股票收益——中国股票市场的经验研究
短句来源
     Cost-Income Analysis on Quality
     质量成本收益分析
短句来源
     On Amendment Method of the Stock Price Index
     论股价指数的修正
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  stock return
We show new modeling aspects of stock return volatility processes, by first representing them through Hammerstein Systems, and by then approximating the observed and transformed dynamics with wavelet-based atomic dictionaries.
      
We identify three attributes of a firm that exert significant positive impact on stock return performance of companies.
      
firms experiencing relative stock return declineduring 1987-93, we examine the impact of these factors as wellas other control factors on their turnaround strategies.
      
September 11 and Stock Return Expectations of Individual Investors
      
A firm raising its international sales by 10 percent raises the exposure of its stock return to global shocks by two percent.
      
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This paper conducts an empirical study on the relationship between stock returns, risk, and corporate from the industry perspective in the Chinese stock market. Results show that there are significant differences for performance among different industries, but not for their stcok price behavior. And about 25.3% of the variance of stock returns can be explained by risk. But performance can explain little of them.

对A股上市公司的业绩和股价行为月特征进行了分行业的统计分析,检验了业绩、股价收益及风险的行业效应,并对股份收益与公司业绩、风险分别进行了相关性分析和回归分析。研究结果表明,不同行业公司的业绩具有显著差异,但股份收益和风险均没有显著差异;股份收益与公司业绩基本无关,但与风险显著正相关,约25.3%的股份收益波动可由风险来解释。

As in the start-up phase, the security market in China is not mature, full of speculators lack of the required and relative knowledge of finance and security. Thus those who merely focus on the short-term return suddenly found themselves locked in the market and even lost the money over night. What is worse is that the institutional investors are not of aid. This article aims to explore how to guide the small stake-holders in using the finance-warning assistant tool and create a qualitative analysis form in...

As in the start-up phase, the security market in China is not mature, full of speculators lack of the required and relative knowledge of finance and security. Thus those who merely focus on the short-term return suddenly found themselves locked in the market and even lost the money over night. What is worse is that the institutional investors are not of aid. This article aims to explore how to guide the small stake-holders in using the finance-warning assistant tool and create a qualitative analysis form in order to remind investors to consider their decision more comprehensively.

我国证券市场还处于新生阶段,缺少相应的机构投资者,大多数投资者缺乏经济金融证券知识,很少人去关注基本面而是将注意力过分集中在短期的股价收益上,成为企业或某些大股东操纵圈钱的对象。基金也起不到稳定市场的作用,证券公司本身也成为短期主义者。本文从中小投资者的角度,探讨如何利用财务预警辅助投资,并试制定性分析表以供投资者降低其投资风险参考。

 
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