其次,本文对证券公司声誉与推荐股票价值之间的关系进行了理论分析。
Secondly, the article has carried out theoretical analysis on the mutual relationship between the reputation of securities firms and the value of stock recommendations.
本文介绍了现代证券组合理论中几个主要的数学模型,并分析了组合收益中的风险构成及风险收益决策。
Several mathematical models in modern portfolio has been introduced in this essay and the risk components in portfolio income constitution have been analyzed.
第一部分;证券税制的一般理论分析。
This thesis begins with the analysis of theory on tax system of securities.
本文首先讨论了住房抵押贷款证券化的理论基础,及其对资本结构理论的挑战,然后对银行抵押贷款证券化的收益与风险进行了分析。
The theoretical principles underlying the securitization of housing mortgage and their challenges to the capital structure theories are discussed, and SHM's benefits and risks analyzed.
本文主要在对证券市场羊群行为研究现状进行综述的基础上,对中国股票市场上的羊群效应进行实证研究并对其发生机制进行理论分析。
Based on the research survey of the herd behavior in security markets, the author empirically studies the herd behavior in China stock market and theoretically analyzes the occurrence mechanism of it.
基于上市公司集团关联性的相关理论分析,本文以中国证券市场上出现的造系运动为例,对集团关联上市公司中控股股东代理问题进行了分析。
Based on the theories of listed companies' affiliation with business groups, this paper analyses the agency problems of controlling shareholders in Chinese group-affiliated listed companies.
最后,本文在理论分析和实证研究结论的基础上,从企业自身、证券市场和会计准则这三个层面上提出相关建议。
Finally, based on theoretical analysis and the result of empirical study, this paper gave relative advice in three levels, the enterprise itself, securities market and accounting standards.
第四、五、六章分析证券市场规律性与随机性现象,对市场行为提出新的理论解释。
In chapter 4, chapter 5 and chapter 6, we analyze the phenomena of regularity and stochastic character in securities market and explain the market behavior in new theory.
第三部分阐述成本收益、战略联盟和集中交易理论,分析这些理论对解决网上证券交易模式的作用。
The third part interprets three theories of cost & benefit, strategic alliance, and concentrated swap, and analyzes the roles of these theories in the model of securities online trading.
通过对证券发行市场、交易市场、中介服务市场存在的损害行为进行分析和归类,以为证券市场监管合理边界的确定提供理论依据。
Through analyzing and categorizing of damage action within stock issue, exchange and intermediary markets, theory foundations that determine the boundary of administrative control are provided.
对证券市场包括股票市场中的一些经典方法有:均值-方差分析法、APT理论、CAPM模型、B-S期权定价模型等。
Some of classical analytical methods about Security market, including stock market have Mean-Variance analytics, APT theory, CAPM model, B-S options pricing model, etc.
第二章对美国证券纠纷adr的理论和实践进行了介绍和分析。
The second chapter mainly discusses the theories and practices of ADR in us.
本文先介绍了整体上市的理论基础和现状,分析了目前我国证券市场上已经出现的整体上市的具体模式。
The paper first gives the theories and current situation of overall listing, analyzes the particular pattern of overall listing in our stock market.
当西方派现政策理论在中国失效的情况下,本文试图借鉴国外理论的研究思路和方法,通过分析中国的证券市场环境来探索中国派现政策的驱动因素。
When western dividend policy theories are invalid in China, we try to learn their ideas and methods, and analyze China's securities marker environment to explore China's dividend policy theory.
首先,借助制度变迁理论的供求分析框架,本文从制度的需求角度分析了近代中国证券市场产生的原因,并探讨了中国传统文化与证券市场之间的关系。
Firstly, it analyzes the causes of Modern China Securities Market, and the functions of traditional cultures and concepts, with the Angle of supply and demand relations in Institution Change Theory.
将粗糙集理论应用于证券分析系统,探讨了相容状况下基于粗糙集理论的数据处理方法,并给出了系统结构和融合方法。
It is researched that the consistent datum are disposed by rough set theory in the data fusion center of stocks analysis system.
从50年代初马科维茨提出证券组合理论开始,金融学进入了定量分析的阶段,这可以看作是金融数学的开端。
In the early 50's Markowitz advanced portfolio theory. From that time on, finance stepped into the stage of quantificational analysis, which can be regarded as the beginning of financial mathematics.
文章力求从理论层面与实际运作两方面对资产证券化信托做出尽量完备且深入的总结分析。
The paper tries to make a comprehensive and deep analysis on the theoretical level and the actual operation of the asset securitization trust.
文章力求从理论层面与实际运作两方面对资产证券化信托做出尽量完备且深入的总结分析。
The paper tries to make a comprehensive and deep analysis on the theoretical level and the actual operation of the asset securitization trust.
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