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通货膨胀环境下的证券投资策略研究 被引量:2

Study on Securities Investment Strategy under Inflation
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摘要 由于诸多因素的影响,我国消费者价格指数持续上涨,中国的通胀压力越来越大。而通货膨胀是影响证券市场发展的一个重要因素,它既有刺激证券市场的作用,又有压抑证券市场的功效。因此,如何规避通货膨胀的压力,实现资本的保值增值就成了投资者面临的主要问题。 China's inflation rate jumped to a new decade high of 8.7 percent in February 2008,its highest rate in a decade, the Chinese economy suffered the fluctuations for various reasons last year. We should research this problem in order to preserving and increasing the value of capital in this paper.
作者 聂峰
机构地区 上海金融学院
出处 《海南金融》 2008年第7期39-41,共3页 Hainan Finance
关键词 通货膨胀 证券投资 策略 Inflation Securities Investment Strategy
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