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author:

王萍 (王萍.) [1]

Abstract:

CAPM描述了证券市场上单个证券或投资组合同系统风险收益率之间的关系,使得投资组合理论在整个经济领域得到了广泛的应用。本文首先对CAPM的理论体系进行概述,进而从实证的角度研究CAPM在我国证券市场运用中需注意的问题。

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Community:

  • [ 1 ] [王萍]福州大学管理学院

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Source :

商业会计

ISSN: 1002-5812

Year: 2007

Issue: 1

Volume: 0

Cited Count:

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SCOPUS Cited Count:

ESI Highly Cited Papers on the List: 0 Unfold All

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Chinese Cited Count:

30 Days PV: 1

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