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上市公司风险承担对股价波动的影响研究 被引量:6

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摘要 上市公司的风险承担直接关系到其公司的内在价值。本文通过选取了企业的风险资产结构、资产负债结构、投融资匹配关系等方面的指标对我国上市公司风险承担进行综合评价,并实证检验了其风险承担对股价波动的影响。研究发现,上市公司风险承担对其股价波动有显著的正向影响。同时,公司的资产规模、营运能力、盈利能力、发展能力等信息也会引发股价的波动。
作者 王阳 郑春艳
出处 《价格理论与实践》 CSSCI 北大核心 2012年第3期57-58,共2页 Price:Theory & Practice
基金 国家自然科学基金项目(71172136)和(71001014) 中央高校基本科研业务费项目(2011QG01)
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