Research on Stock Return Rate
Focus on Relationship among Stock Return Rate, Market Return Rate, Risk-Free Rate and Other Stock Return Rate in Chinese Stock Market
DOI:
https://doi.org/10.54097/fbem.v2i1.28Keywords:
Regression Test, Model building, Multiple Regression, CAPMAbstract
There is a certain relationship among stock return rate, market return rate and risk-free interest rate, which is worth discussing, and it is helpful for us to analyze stocks and evaluate their prices. I have found that the market return rate and risk-free rate have correlation through multiple regression, and other stock's return rate can affect the target stock to some extent. The stock return rate is positively related to the market interest rate and inversely related to the risk-free interest rate.
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References
Fama, Fugene. F. (1970) “Efficient capital markets: a review of theory and empirical work” Journal of Finance, vol.25, pp.383–417.
Gao Yan, Yang Xin (2018) "A Study on the Relationship Between CAPM and China Stock Market".
Drew, M. E., Naughton, T. and Veeraraghavan, M. (2003) “Firm size, book-to-market equity and security returns: evidence from the shanghai stock exchange” Australian Journal of management, vol. 28:2, September.
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