What had been a generalized market malaise turned into a catastrophe, a two-month panicked shutdown of credit markets as trust went out the window.
市场上普遍存在的原本不太大的问题演变成为一场灾难,导致信心丧失,信贷市场因恐慌而被迫关闭了两个月之久。
Based on Generalized Error Distribution, this paper analyses the stock profit and volatility in Shanghai stock market at different stages, using the family of GARCH models.
采用基于广义误差分布的GARCH类模型,对上海证券市场的收益和波动进行分阶段研究。
Currently, risks in banking institute can be generalized as market risk, credit risk and operational risk.
目前,金融机构所面临的风险大体可以概括为市场风险、信用风险以及操作风险。
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