Research on the Risk Management of Stock Market Based on Macroeconomic Analysis
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DOI: 10.25236/icefbd.18.058
Corresponding Author
Wenting Jia
Abstract
In the risk assessment and analysis of the stock market, the macro analysis of the stock market is an effective analysis method. Macroeconomic analysis plays a very important role in promoting risk management in the stock market. Based on the current situation, this paper makes a full analysis of China's current stock market and determines how to manage the risk of the stock market in this economic situation.
Keywords
Macroeconomic Analysis, Stock Market, Risk Management