clothing indices meaning in English
服装价格指数
Examples
- In this article , firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced , thus learn that how to discern and dodge the foreign trade risks , how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk . so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory , which is the main content that we studied . firstly , the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes , performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric , and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad , as well as the impact degree and the time lag degree , and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty . from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed . involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied , and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk , the
本文首先介绍了中美、中欧纺织品贸易争端的来龙去脉,由此可知在涉外贸易这种以高投入、高风险著称的行业里,如何甄别和规避外贸风险、如何选择合适的投资项目已经成为外贸企业的首要问题。因此,正文分别从统计学、博弈论和投资组合三种角度对涉外纺织品贸易公司风险进行了定性和定量的分析,这也是本文的主要研究内容。首先,统计学篇选取了深圳证券交易所行业分类指数?纺织服装指数( ti )每一季度末的交易收盘价和若干种反映宏观经济变化的指标,利用计量经济学中时间序列的协整检验、 granger因果检验和脉冲反应函数等理论做实证分析,从而得知反映国内物价水平和国内外经济景气程度的经济指标对纺织板块上市值的冲击比较明显,且可知冲击程度和时滞度,进而分析出涉外纺织企业所面临的宏观经济风险;接着,从博弈论的角度具体分析一家纺织品出口公司( beauty )的外贸活动所面临的各种经营风险,该篇从博弈扩展图入手,分析了出口目的国审查方式与本企业出口策略之间的制度安排;并围绕双方的利益分配,研究了有限回合和无限回合合作谈判博弈,然后具体论述了国家责任和企业涉外经营风险等问题;在一定程度上为了实现投资多元化来分散风险的目的,投资组合篇从经典的markowitz模型着手,在一些特定条件的限制下,给出了一个相应的投资组合模型。