• 最后运用均衡分析方法我国证券市场投资者风险厌恶系数进行粗略估计

    At the last part of this article, the equilibrium analysis method will be introduced to assess the risk-averse coefficient of investors in Chinese security market.

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  • 投资者最优收益期望值方差其对应信息风险-收益系数风险厌恶参数共同决定市场的风险价格完全由信息的风险-收益系数确定。

    The mean and variance of the optimal payoff is determined by both the payoff-risk coefficient of information and the risk aversion parameter, but the risk price is only by the former.

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  • 优策略对管理者风险厌恶程度资产波动流动性系数较为敏感,证券超额收益率敏感程度低。

    The strategy is sensitive to the manager′s risk tolerance, the asset volatility rate and the liquidity coefficient, but it is insensitive to the security excess return rate.

    youdao

  • 优策略对管理者风险厌恶程度资产波动流动性系数较为敏感,证券超额收益率敏感程度低。

    The strategy is sensitive to the manager′s risk tolerance, the asset volatility rate and the liquidity coefficient, but it is insensitive to the security excess return rate.

    youdao

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