摘要
利用计量经济学、经济控制论来研究上市公司财务指标之间的关系 ,然后对其进行拟合 ,进而对拟合出的财务指标的模型进行参数估计 ,在参数估计出的基础上 ,进行公司财务体系的最佳控制 ,得出公司的最佳财务金融体系。同时利用模型进行实证分析 。
In a mature, standard and perfect securities market, with the interaction relationship each financial data, we build a model of a union equation. In terms of the data of years data, we can estimate the parameters of the theory of financial control, the managers and investors can control reasonably the process to the object of financial measures system, through some relevant financial measures data. In the opposite, they also can calculate the financial measures data of the firm by the optimum controllable variable.
出处
《重庆大学学报(自然科学版)》
EI
CAS
CSCD
北大核心
2003年第2期148-150,155,共4页
Journal of Chongqing University
基金
获世川良一基金资助