摘要
中国证券市场通过十多年来的发展 ,已成为社会主义经济的重要组成部分 ,并逐步与国际接轨。借鉴西方发达国家的现代证券组合投资理论 ,对于促进和推动中国证券市场保持长期稳定的发展具有重要的理论和现实意义。但是 ,在借鉴和应用现代证券组合投资理论的过程中 ,必须考虑现代证券组合投资理论在中国的实用性 ,形成中国模式的证券组合投资模型。
The bond market of China has become an important part of its socialistic economy after the development of more than ten years, and gradually operates in an international manner. The reference of the combined investment theory of modern bond in the western developed countries has substantial importance theoretically and practically for promoting the bond market development with a long-term steadiness. However, in the process of using and implementing the combined investment theory of modern bond, the applicability of the theory to China has to be considered, and the combined investment model of the bond with distinctive features of China will be formed.
出处
《北京航空航天大学学报(社会科学版)》
2002年第2期47-50,共4页
Journal of Beijing University of Aeronautics and Astronautics:Social Sciences edition Edition
关键词
风险证券
无风险证券
投资模型
统计分析
risk bond
non\|risk bond
investment model
statistical analysis