Journal of Financial Risk Management

Volume 9, Issue 1 (March 2020)

ISSN Print: 2167-9533   ISSN Online: 2167-9541

Google-based Impact Factor: 1.09  Citations  

Comparison and Analysis of Chinese and United States Stock Market

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DOI: 10.4236/jfrm.2020.91003    1,270 Downloads   8,917 Views  Citations
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ABSTRACT

To compare and analyze the difference between the United States and Chinese stock market, the relative variance, correlation, beta, and volatility of different stock markets are required. These parameters could help people to make better decisions and risk predictions while investing in China or the United States. The analysis also shows cases and the unique characteristics of both the Chinese and United States stock market, leading to the conclusion that the United States stock market is more mature and stable than the Chinese stock market. Through the comparison between the two stock markets, the Chinese and American economies could be better understood.

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Yang, Y. F. (2020) Comparison and Analysis of Chinese and United States Stock Market. Journal of Financial Risk Management, 9, 44-55. doi: 10.4236/jfrm.2020.91003.

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