·2,447,543篇论文数据,部分数据来源于NoteExpress
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。
Second part introduces the relevant research on asymmetric volatility of stock market conducted by domestic and international scholar.
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。
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.
当股票市场处于萧条期,利润率几乎所剩无几,债券的收益率有史以来达到最低点时,投资者们对过去认为的任何有可能的回报资金都不会在抱有幻想。
With stock markets in the doldrums, interest rates cut to almost nothing, and bond yields at record lows, investors were desperate for any kind of meaningful return on their money.
It went--that's that famous minus 100% return, right, which dominates everything.
答案是负100%的收益率,整个股票市场收益率皆如此
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