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我国股票市场的系统性风险与防范对策


全文字数:11000字左右  原创时间:<=2022年

【内容摘要】

我国股票市场的系统性风险与防范对策
我国股票市场的系统性风险与防范对策
【摘要】国外对系统性风险的研究已经十分成熟,但是我国对这方面的研究比较晚。我国股票市场自90年代建立以来发展迅速,但是由于我国市场的特殊性,加上我国经济目前处在一个转型期,宏观环境变化很快,所以我国股市的系统性风险所占比例比国外成熟市场大很多。本文主要分三部分对我国股票市场上的系统性风险进行分析,即我国股市现状分析、我国股市系统性风险的分类及其产生的原因、最后是对系统性风险的防范对策进行阐述。
【关键词】中国;股票市场;系统性风险;对策
The Discussion of Systemic Risks and the Countermeasures in China’s Stock Market
 
【Abstract】The research of the systemic risk is very mature in foreign countries, but is later in this ares of China. China's stock markets develops quickly since it establish in 1990s.Because of the particularity of the stock market, and China’s economy is in a period of transition,macroscopic environment is changing quickly.The systemic risk of China’s stock market is bigger than the mature market abroad. The paper divided into three parts to analyse the systemic risk: Analysis of China’s stock market,the classification of the systemic risk and the causes,finally, the prevention measures of  the systemic risk.
【Key words】China ,Stock Market, Systemic Risk, Countermeasure

 

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