此外,研究结果发现,相比于股息贴现模型,剩余收益模型是一个更好的估值方法。
Moreover, the study resulted in the discovery of the fact that the residual income model is a better valuation method compared to the dividend discount model.
借助剩余收益模型测定了我国股票市场1992年至2002年历年年末的市场价值基础,并探讨了股票市场价格泡沫问题。
The residual income model is used to evaluate Chinas stock market at the end of each year in the period of 1992 ~ 2002.
借助剩余收益模型测定了我国股票市场1992年至2002年历年年末的市场价值基础,并探讨了股票市场价格泡沫问题。
The residual income model is used to evaluate China's stock market at the end of each year in the period of 1992 ~ 2002. Then stock market bubbles are studied.
通过比较两种模型的解释能力和适用性,分析中国市场的特性,并为非线性剩余收益提供进一步的证据。
By comparing the explaining power and applicability of these two models, this study analyzed the traits of Chinese market and provided more evidences for non-linear residual income relationship.
通过比较两种模型的解释能力和适用性,分析中国市场的特性,并为非线性剩余收益提供进一步的证据。
By comparing the explaining power and applicability of these two models, this study analyzed the traits of Chinese market and provided more evidences for non-linear residual income relationship.
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