论文部分内容阅读
今年上半年国内股市的格局呈现一个震荡整理的态势,其主要影响来自于周边金融市场、国内经济运行情况、政府宏观调控及一些突发事件。因此对于今年上市公司的中报产生了较大的影响。 首先从周边金融市场来看,从去年开始的东南亚金融危机以来,有关国家货币大幅贬值,经济形势恶化,导致部分投资者看淡亚洲金融市场,纷纷抽资撤离,以致亚洲地区股市跌幅惨重。另
In the first half of this year, the pattern of domestic stock market showed a trend of turmoil and consolidation. Its main impact came from the peripheral financial markets, the operation of the domestic economy, the government’s macro control and some unexpected incidents. So for this year’s listed company’s mid-year report had a greater impact. First of all, from the perspective of the peripheral financial markets, the stock market in the Asian region has suffered heavy losses since the Southeast Asian financial crisis started last year with the drastic devaluation of the national currency and the worsening economic situation, causing some investors to bearishly bearish on the Asian financial markets and have withdrawn their capital through withdrawals. another