摘要
首先分析和归纳影响股票市场的基本因素,给出建立模型的理论基础及其可行性;然后,结合统计学和物元变换的相关知识形成股票投资策略的选择理论和相应模型来描述股市风险状况;最后形成相应的方法并做实证分析证明此投资策略的正确性和可行性。
The author analyzes and concludes the factors that affect the stock market, and gives out the theory basis of the model and its feasibility; Then, based on the related knowledge of statistics and unit exchange, the selection theory and its corresponding model of stock investment strategy are gotten to describe the risk situation of stock market. At last, the author concludes the selection method of stock investment strategy and does the empirical study to prove that the strategy is both right and efficient.
出处
《重庆大学学报(自然科学版)》
EI
CAS
CSCD
北大核心
2004年第12期146-148,共3页
Journal of Chongqing University
基金
安徽省高等学校青年教师科研资助计划(2004jqw53)
关键词
股票市场
风险分析
收盘指数
投资策略
stock market
risk analysis
closed board index
investment strategy