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本文的主要研究内容是通过度量中国股市A股市场历年来的泡沫度来了解中国股票市场的泡沫情况,分析泡沫产生的原因及制定治理方案。度量A股市场泡沫度时比较了多种内在价值模型最后选择了剩余价值模型来进行度量,并针对我国市场的实际情况对模型进行了改良。本文通过泡沫的度量,与历年市场经济情况相结合分析了泡沫产生的各种原因,并针对这些原因提出了解决的方法。
The main research content of this paper is to understand the bubble situation in China’s stock market by measuring the degree of the bubble in the A-share market of China’s stock market over the years, analyze the causes of the bubble and formulate the governance plan. When we measure the stock market bubble in A-share market, we compare the multiple intrinsic value models and choose the residual value model to measure. Finally, the model is improved according to the actual situation in our country. This article analyzes the various causes of the bubble through the measurement of the bubble and the market economy over the years, and proposes solutions to these problems.