摘要
经过20年的发展,中国股票市场正在逐步走向成熟。文章采取实证分析与理论分析相结合的方法,论述了宏观经济、货币供应量和机构投资者对中国股票市场波动的影响,并分析了各种影响因素的作用机理。
In past 20 years, Chinese stock market has become mature step by step. Taking the method of combining empirical analysis with theoretical analysis, this article discusses the in- fluence of macro economy, money supply and institutional investors on Chinese stoek market volatility, and analyzes the mechanism of each influencing factor.
出处
《吉林工程技术师范学院学报》
2011年第5期36-38,共3页
Journal of Jilin Engineering Normal University