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有观点认为,除非有故意或者重大过失,不能因为预测的误差追究证券分析师(股评人)的法律责任。在这方面,司法的干预应该是有限度的。
The view is that, unless there is intentional or gross negligence, can not be held accountable by the securities analyst (stock analysts) for the forecast error. Judicial intervention should be limited in this regard.