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From a firm-year perspective, sorting all analysts issuing forecasts for a firm into quartiles, with analysts' forecasts samples exceeding 7700 and stock rating samples exceeding 21000, this paper tests relationship between analysts' earnings forecasts accuracy and recommendations investment value by computing the characteristics and daily returns of the long and short portfolio of each quartile....
By selecting customers' credit risk indicators of the domestic textile industry on the electronic trading market in China and using factor analysis method, clustering method, and ordered-logit model, it can be concluded that the comprehensive evaluation of customers' credit status is measured scientifically in B2B market. Therefore, customers' credit risk management is made effectively in accordance...
As one of the core contents of the company's financial management, dividend policy receives universal attention in the theoretical circles. This paper selects the IT industry as research object, firstly analyzes the status quo of dividend distribution about past six years, and then selects the financial data of 2011 to build a multiple linear regression model to verify the influence factors in the...
This paper, on the basis of standardized data, uses the financial data of listed tourism companies and Euclidean distance method to build a fuzzy matrix. Then it figures out the fuzzy equivalent matrix by square method, and does fuzzy clustering under certain clustering level. By this means, we achieve the category of tourism companies. In conclusion, the financial condition and management performance...
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