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后金融危机时代其表现出的资本市场特征不同于以往的资本市场表现,特别是从本质上分析,其资本特征也有一定差别。因此,当前投资方在把握后金融危机时代的投资方向,以及对后金融危机时代投资方面的一些管理进行策略调整时,需要充分考虑的问题相对较多,这不仅是对投资方的考验,同时也是投资市场稳定性的重要基础。
After the financial crisis, the characteristics of the capital market are different from the performance of the capital market in the past, especially from the essential analysis, the capital characteristics are also some differences. Therefore, when the current investors adjust their investment orientation in the post-financial crisis era and some strategies for investment in the post-financial crisis era, relatively more issues need to be fully considered. This is not only a test for investors, It is also an important foundation for investment market stability.