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统计方法在股市投资风险分析中的应用 被引量:3

Analysis of the Relation Between Risk and Return in Shanghai Stock Market with Statistical Method
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摘要 在资本资产定价模型的基础上 ,针对上海股市的收益与风险进行了回归和相关分析 。 This paper analyses the relation between risk and return in Shanghai stock market by regression and correlation model. The results of this analysis are statistically significant.
作者 周利 白思俊
出处 《河南大学学报(自然科学版)》 CAS 2000年第2期53-55,共3页 Journal of Henan University:Natural Science
基金 中国航空科学基金项目!(96J5 3132 )
关键词 系统风险 非系统风险 股票投资 风险分析 return system risk non_system risk regression model time series regression gross section regression
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