By studying the relationship between stock real returns and inflation, we could find the correlation between stock market volatility and macroeconomicconditions.
通过研究股票实际收益率与通货膨胀波动性之间的关系,可以判断股票市场波动和宏观经济运行之间的联系。
2
The correlation between homogeneous loan portfolio and the effect of macroeconomicconditions on recovery rate of secured loan are taken into account in the model.
在建模过程中,考虑了同类贷款组间的相关性和宏观经济因素对抵押贷款回收率的影响。
3
According to the analysis, the authors conclude that there is no basic condition for leverage buy out in China at present. But the macroeconomicconditions have been ripe.