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2012年A股市场从2009年下半年以来的最低点起步,经历了2个月的“春季躁动”行情起步,上证指数从2132点上涨至2478点,之后在政策和经济无法证伪的背景下又经历了两个月的震荡时期。随后经济数据开始转差市场进入单边下跌阶段,即便有“维稳行情”的存在,也只不过让市场在9月、10月两个月时间里暂时企稳,最终市场下跌趋势延续到了12月初,并且创出了1949点的新低。
In 2012, the A-share market started off its lowest level since the second half of 2009 and experienced a 2-month “spring restlessness” market start-up. The SSE index rose from 2132 points to 2478 points. After the policy and economy were falsified After another two months of turmoil in the background. Then economic data began to slip into the market unilateral decline, even if there is “maintenance of the market, ” the existence of only the market in September and October for two months to temporarily stabilize the final market decline continued to 12 The beginning of the month, and hit a new low of 1949 points.