摘要
阐述了在市场经济条件下投资者如何正确分析上市公司的财务比率,正确预测企业财务危险的信息,通过SPSS统计软件进行因子分析和回归分析,得出投资者应重点关注的七大指标和一个预测营业利率的多元线性回归模型.指出在减少投资者的投资风险方面,定量分析与定性分析结合的重要性.
This article discusses how to analyse the financial ratios in quoted company when they will bankrupt on the condition of market economy.It tells the invesors how to forecast the financial risk.It gives a linearity of regraession model through SPSS statistic software to forecast the rate of operating profit and tells investors to pay attention to seven ratios.It points out the importance on quantitative analysis method or qualitative analysis method,which can decrease the risk of investment.
出处
《西华师范大学学报(自然科学版)》
2004年第3期271-278,共8页
Journal of China West Normal University(Natural Sciences)