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1.
The correlation between China stock market and economic growth is always regarded by economic and financial studies. For the time limit of the developing of stock market and the difficulty of data's collection, it is still in studying that the correlation between stock market and economic growth, especially the causation versus regression. By the method of Demirguc - Kunt and Levine,this paper empirically tests the correlation between China's stock market and economic growth on the seasons serial data from 1995 to 2000. The conclusion is that the relationship economic growth between stock market is unilateral.  相似文献   

2.
在对中国潜在产出测算研究状况进行评介的基础上,分别使用H-P滤波法和生产函数法估算了中国1978—2004年间的潜在产出、产出缺口和潜在产出增长率。结果表明:(1)1978—2004年间,中国的产出缺口出现了波动水平正负交替的周期情形;(2)1995年以前产出缺口的波动幅度比较剧烈且较为频繁,1996年特别是1999年以后产出缺口的变化较为平缓;(3)1997年以后,虽然经济的增长率保持较高的水平,但是生产要素的实际利用水平却逐渐降低;(4)生产函数法得到的结果基本客观的反映了改革开放后,中国开始从计划经济向市场经济过渡到市场经济初步建立这一时期的生产要素使用情况。(5)根据H-P滤波法和生产函数法估算的潜在产出,得到1978—2004年间的平均潜在产出增长率分别为9.54%和9.67%。根据估计结果,在今后几年,通过适当的宏观调控,把中国的经济增长率稳定在 8%~9%可能是一个较好的选择。  相似文献   

3.
In view of the extensive growth of China's steel production in recent years, this paper analyzed the industrial development background and economic geography theory, and discussed the possible spatial interaction mechanism. Based on panel data of China's inter-provincial steel output from 2001 to 2015, using spatial econometric model, this paper also explored whether China's provincial steel production shows material orientation, market orientation and traffic orientation, and isolated spatial interactions of interprovincial steel output. The results showed that the inter-provincial steel production in China did show both material orientation, market orientation and traffic orientation and that there was a significant negative spatial interaction, indicating that there might be strong competition and a crowing-out effect between neighboring provinces, and that the smaller the spatial scope, the more significant the spatial interactions of steel production.  相似文献   

4.
China's stock market enters a stage where the competition's rules as well as the competition's environment are changing continuously,Under such circumstances,to gain the competition advantages is of vital importarce to the existence and development of China's stock companies themselves. As a result, the stock companies should have a thorough analysis of the RBV theory at present, and evaluate its applicability to China's stock companies, Then they should come up with some reformational measures,aiming at improving the competition advantages of domestic stock companies. There fore they are able to make measonable use of the company's resources and accomplish the organic unity combination of the company's valued resources and its strategic administration. These are the key measures used by stock companies to gain the competition cedvantges.  相似文献   

5.
Human capital is becoming recognized as an increasingly important factor in rural economic development. Economic research, however, has not provided clear empirical support of the relationship between human capital investment and economic growth. This paper applies stock and flow concepts to human capital and suggests an operational approach for applying stock and flow concepts to the analysis of the impact of human capital investments through education on economic growth.  相似文献   

6.
In this paper a point of view is expressed that the fairness of accounting measurement in anti-dumping holds a vital status. It should be considered fully that the positive connection exists between the anti-dumping and the fairness of accounting measurement and it is very important to anti-dumping.The fairness in accounting measurement is the extending of fair trade of WTO. However,the difference between the standards of China's accounting and international accounting to certain extent does exist. In this paper, the fairness in accounting measurement in view of identification, transparence, international coordination and objective justice are expounded. It is concluded that in the process of anti-dumping, the identification of fairness in accounting measurement rests with present value and historic cost of market economy. The transparence is the premise of fairness in accounting measurement. The necessary and possibility exist in international coordination, The objective market condition in setting up the fairness in accounting measurement should be taken into account and the unity, different arrangement, utility and reliability be embodied.  相似文献   

7.
The main object of this paper is to research the liquidity risk management of the open-end securities investment fund in line with the real position of China's securities market and investment regulation of the open-end securities investment fund.So the paper concentrates on discussing the redemption forecasting methods,stock liquidity assessment system,portfolio selection in line with the redemption forecast,and financing from the other institution,which are the main parts of liquidity risk management of the open-end securities investment fund.  相似文献   

8.
Now the appraisement of stock market of China is still in the exploring phases. When stocks are appraised, people usually use expert-method or history-method aiming at different factors, especially the confirming of the factors that affect the stock evaluation and the interaction between different factors are not analyzed quantitatively, resulting in the stagnation of next researches on the whole.By applying the SEM to stock evaluation of Chinese stock market, we build a financial structural model, analyzes the influence to stock evaluation of each factor and build the experience mode value of stock evaluation of China. This can be consulted by stock evaluation and credit evaluation of China.  相似文献   

9.
First,we comment on the theory of stock market validity of China. Basing on the analysis of the actuality of stock market validity of China, the market validity by R/S method empirically is studied also, and the conclusion is given that china's stock market is in vice-effective.  相似文献   

10.
探讨了大连大豆期货市场与美国芝加哥大豆期货市场之间的价格渗透与波动性传递效应。通过构建双变量EGARCH,将协整误差项作为解释变量分别引入条件均值方程和方差方程中,动态刻画两市场之间的关系。分析结果显示,所构建的双变量EGARCH模型能够准确描述国内外大豆期货市场之间的波动关系;协整误差项可以对市场的波动性进行解释;两市场之间具有长期的均衡关系,并且相互之间具有很强的信息传递能力。  相似文献   

11.
This paper is focused on early warning of corporation financial crisis for the China's household electric appliance manufacturers in stock market. Firstly, using company's open-disclosed annual statements as data resource, the financial indexes system is constructed. Secondary, adopting the multivariable statistical analysis method, such as cluster, discriminate and principle component analysis, the multivariate models for the empirical study on early warning of financial crisis by making use of SPSS statistical software are set up. The corporation might discover the financial affairs crisis that shall probably arise beforehand by using the financial affairs crisis early warning system. This study and analysis may serve as reference for domestic industries and enterprises.  相似文献   

12.
By the monthly economic date about Chinese automobile and other relevant date,an analysis is first conducted that whether the automobile stock of China can significantly adjust the demand of automobile market or not.Second,a regression model and a time-series model which are used to forecast the demand of automobile of China are founded.Third,the income elasticity and price elasticity about the monthly demand of automobile of China are also analyzed.Conclusions are that automobile stock of China can't significantly adjust the automobile demand,that lag-two income of consumer and automobile price significantly affect the monthly demand of automobile,and that the price elasticity of automobile demand is big than lag-two income elasticity.At last,some proposal is put forward.  相似文献   

13.
At present,it is difficult for medium and small enterprises in China to circulate funds. It is a key problem concerning China's economic development. Since the capital market of China still has a long way to go, it is realistic to discuss the indirect finance. This paper studies the indirect finance channels on two levels.  相似文献   

14.
基于能值理论的湖南环洞庭湖区域农业产出研究   总被引:1,自引:1,他引:0  
为了研究湖南环洞庭湖区域的农业生态经济系统的产出效率。本研究利用能值理论研究了2001—2010年期间该区域的农业产出情况。结果表明:该区域农业能值产出增长了44.68%,达到了6.50E+22 sej,但是低于非农产业产出增长速度。与2001年相比,2010年农业内部主要表现为种植业能值产出4.10E+22 sej,占总能值产出比为63.09%,提高了2.93个百分点,而畜牧业则下降了2.87个百分点;渔业无论是能值总量还是所占比例都位居增幅第二,但其增幅不符合洞庭湖区域特征;农业能值产出集中度高,谷物、油料、猪肉和水产品占比之和超过90%。从农业能值产出与经济产出对比看,种植业和渔业的经济回报率低于林业和畜牧业,且前两者仍处于收益率下降态势,而后两者则呈现收益率上升趋势。这说明湖南环洞庭湖区传统优势产业种植业和渔业的经济效益有待提高。  相似文献   

15.
In order to guard against the manipulation on the stock market made by institutional investors, protect personal investors' benefits, and improve the efficiency of stock market, this article attempts to analyze the institutional manipulation that often happens in our country's stock market, its conditions, mechanism, restriction factors, and its impact on the efficiency of securities market. The analysis is conducted by employing the methods used in the information economics and the signaling game model. Furthermore, basing on the analysis results, the article proposes some constructive suggestions.  相似文献   

16.
The author analyzes and concludes the factors that affect the stock market, and gives out the theory basis of the model and its feasibility; Then, based on the related knowledge of statistics and unit exchange, the selection theory and its corresponding model of stock investment strategy are gotten to describe the risk situation of stock market. At last, the author concludes the selection method of stock investment strategy and does the empirical study to prove that the strategy is both right and efficient.  相似文献   

17.
花生是我国重要的油料作物和经济作物,其产量、品质和出口在国际市场上均具有竞争优势。介绍了原料花生贮藏技术研究的基本概况,包括我国花生生产现状,贮藏特性,花生品质对贮藏效果的影响,花生贮藏期间生理变化,贮藏影响因素和贮藏条件等方面,综述了国内外原料花生贮藏技术的研究进展。  相似文献   

18.
The pledge of stock rights is a method for measuring the external horizontal connections of enterprises, which is more suitable to represent the city network compared with the vertical connections of enterprises. Meanwhile, it is greatly significant to express the relationships of regional spaces. The paper characterizes and explores the evolution of urban spatial structure with complex network research methods to enrich the relevant works on city networks in the Yangtze River Economic Belt from 2011 to 2017. The results are as follows: First, from 2011 to 2017, the pledge of stock rights among cities was enhanced significantly, and the trend of the city networks' characteristics become strengthened and more complicated. Second, cities in the Yangtze River Delta have relatively high connection values, however, cities in the western area are holding peripheral positions within the city network. Third, due to the advantages of economic agglomeration and radiation, the provincial capital have become the core nodes in the city network. Fourth, Shanghai, Hangzhou, and Nanjing have dominant positions within city networks in the Yangtze River Economic Belt. Particularly, Shanghai, as one of the leading financial centers in China, has a growing influence on other cities and gradually evolved into a regional growth pole city and the first core city.  相似文献   

19.
Under the context of economy new normal and rapid urbanization, the shift of economic growth, structural adjustment pains as well as pre-stimulus digestion comes coincidentally. The boundary red line of urban growth, the red line of the number of basic farms and the ecology red line makes the local to conserve land. Land stock for village and town construction is a huge amount of potential resources. Redevelopment of land for village and town construction provides ensured land security for the smooth progress of urbanization. Combining village and town construction land use characteristics and making in-depth analysis of the difficulties in the redevelopment of village and town construction and its inner mechanism, policies and suggestions were proposed for the redevelopment of village and town construction land in terms of land property, land price, market allocation, planning, surveillance and so on, so as to provide valuable reference for the smooth redevelopment of village and town construction land, and the system design of villages and towns.  相似文献   

20.
By using the co-integration testing and error correction model (ECM), this paper investigates long-run and short-run linkages between stock exchange index and GDP. Through exploring the data from the Chinese economy, the authors get the evidences that suggest the equilibrium between stock exchange index and GDP has been broken. Then based on Expectations Theory, they reveal the reason of the stock market down-going with the increase of GDP. Then on the light of above analysis, some adviec is given.  相似文献   

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