He urged investors not to focus on moments of stock market volatility or economic crisis.
他建设投资者不要过于关注股市动荡或经济危机的时期。
The latter investigates the risk through the relationship of the stock market volatility and trading volume.
后者通过分析股票市场波动性和交易量的关系来探讨风险在股票市场上的表现。
Meanwhile, we analyse the cause of the effect of securities transaction stamp tax on the stock market volatility.
同时,我们对证券交易印花税调整导致股价波动性的效应进行了成因分析。
Individual investors, still fearful of stock market volatility, are reaching out for more yield in different ways as well.
个人投资者由于对变幻莫测的股票市场依然心存恐惧,于是也开始以不同方式寻求收益。
As Figure 4.5 shows, following the crash, stock market volatility increased markedly, and volatility to the downside became far more prevalent.
正如图4.5显示,飞机坠毁后,股市波动显着增加,并成为下档波动更为普遍。
The relation between behavior of traders and stock market volatility is investigated based on the information asymmetric model on the Shanghai stock market.
本文基于信息非对称模型研究了上海股市的交易行为与股价波动的关系。
The reason of stock market volatility, of course, is not only including the market factors, but also the fluctuations of investors' psychology and behavior.
股市的动荡,固然有市场的因素在里面,但同样不可忽视的一个原因就是投资者的心理与行为的波动。
By studying the relationship between stock real returns and inflation, we could find the correlation between stock market volatility and macroeconomic conditions.
通过研究股票实际收益率与通货膨胀波动性之间的关系,可以判断股票市场波动和宏观经济运行之间的联系。
The second part is the empirical analysis, it tests whether the long-run equilibrium exists between the savings change and the stock market volatility in the chosen period.
第二部分是实证检验,考察在选定的时间段内储蓄变动与股市涨跌是否存在长期均衡关系,如果二者之间存在均衡关系,试图构建一个模型来描述二者之间的关系。
In the first part of the paper, it mainly analyses the influencing factors of the household savings change and the stock market volatility respectively and also the relationship between them.
第一部分主要是对居民储蓄和股市涨跌的各自影响因素及相互关系的理论分析。
First, we introduce the concept and theory of the spectral analysis and its application in the field of economic and finance, then summarizes the basic factors affecting stock market volatility.
首先,详细介绍谱分析的相关概念、理论知识以及谱分析在经济金融领域的研究情况,并总结了影响股市波动的基本因素。
After all, my definition of cheap also includes a read on the volatility of the stock market as a whole.
毕竟我对便宜的定义,作为一个整体,也涵盖对了股票市场挥发性的判读。
Given volatility in equities over the past few weeks, how resilient is the stock market recovery to these jitters?
过去几周,股市出现波动,你觉得股市对这些恐慌的承受性有多强?
And that can be a dangerous thing as investors have the tendency to load up on risky stocks when times are good, and then get beat up by the volatility when the stock market turns hostile.
因为在股市行情好时,投资者往往满仓持有高风险股票,一旦行情转坏,市场波动就会对这些投资者予以重击。
The wolf market is characterized by a tight trading range, increased volatility, high stock correlations and quick reversals.
狼市的特点是窄幅震荡、波动增加、股票相关性高、反转快。
No-one should imagine the ride will be smooth. China is an emerging market and the volatility of its stock markets will remain higher than in developed markets.
这段旅程注定不会平坦。中国是个新兴市场,其股市的波动仍将比发达市场股市更为剧烈。
Though volatility in the stock market has been high ever since the credit crisis began in mid-2007, the summer of 2008 has been especially wild.
从2007年年中次贷危机开始以来,直到2008年夏季,股市一直都在大幅波动。
Second part introduces the relevant research on asymmetric volatility of stock market conducted by domestic and international scholar.
第二部分介绍国内外学者对于股票市场收益率波动不对称性的相关研究。
As the market developing, the trading volume has expanded greatly and the volatility of stock index become highly.
随着市场的扩大,整个市场的交易量与股价指数波动变化的幅度也随之扩大。
The paper examines the extent to which the conditional volatility of stock market returns in Chinese stock markets is related to the conditional volatility of financial and business cycle variables.
这篇论文目的是考察在中国股票市场中,股票市场收益率的条件波动率与宏观经济变量的条件波动率之间的相关程度。
This paper is an empirical study on the volatility of stock market in china-based on the long-term memory theory.
本文主要研究基于长记忆性的中国股票市场波动性的实证分析。股票市场充满不确定性。
Frequent volatility is a feature of stock market. Autoregressive Conditional Heteroscedasticity (ARCH) model is often used to forecast the variance of the benefit of financial capitals.
股票价格的频繁波动是股票市场最明显的特征之一,自回归条件异方差类模型可以很好地预测金融资产收益率的方差。
A key criterion to evaluate the maturity of a stock market is to see whether it has good volatility.
证券市场成熟与否,一个关键的评判标准就是看证券市场是否具有良好的波动性特征。
With the rising of volatility in the stock market, risk management has been the main research area of finance engineering and modern finance theory.
随着金融市场波动性的不断加剧,风险管理逐渐成为金融工程和现代金融理论的核心内容。
With the rising of volatility in the stock market, risk management has been the main research area of finance engineering and modern finance theory.
随着金融市场波动性的不断加剧,风险管理逐渐成为金融工程和现代金融理论的核心内容。
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