金融信息对西班牙股市投资决策的价值

R. Barberá Beltrán
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摘要

本文研究了在西班牙连续市场上市的公司与一组用于衡量企业绩效的比率和财务经济变量之间的相关性。目标是解释西班牙连续市场股票价格的行为,并设计一个优化长期投资的模型。将这些回报率与Ibex 35指数和Ibex总回报率进行比较,得出的结论是,一些比率对价格的演变有更大的影响,并且不可能明显击败市场。
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The value of financial information to make investment decisions in the Spanish stock market
This article studies the correlation between companies listed on the Spanish continuous market and a set of ratios and financial economic variables used to measure business performance. The goal is to explain the behavior of the prices of the shares of the Spanish continuous market and design a model that optimizes long-term investments. The returns are compared with those of the Ibex 35 and the Ibex Total Return and it is concluded that some ratios have more influence than others in the evolution of the price and that it is not possible to beat the market significantly.
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