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摘要:
Overall level of export fluctuations of the export-oriented countries with rising export volume partly stem from the market failure caused by free choice of export enterprises,some government intervention thus may be necessary.To reduce the level of fluctuations of the export growth rates in these countries,this paper,taking the significant differences of the exports among various markets into account and thus using a new index named relative variance to measure the export volatility risks,proposes a model of merchandise market portfolio,a modified version of Markowitz model,available to provide explicit guidelines for the firms,the industries and even the whole country to optimize the structure of their export markets.An application of this model to the case of China’s apple is then discussed.The results show that the market share of China’s apple in 7 sub-markets should be redistributed drastically.
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篇名 An Approach of Reducing Overall Level of Export Fluctuations of the Export-oriented Countries
来源期刊 经济科学研究(英文) 学科 经济
关键词 Export-oriented country Relative variance Markowitz model Export market portfolio model
年,卷(期) 2020,(3) 所属期刊栏目
研究方向 页码范围 30-35
页数 6页 分类号 F14
字数 语种
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Export-oriented
country
Relative
variance
Markowitz
model
Export
market
portfolio
model
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研究分支
研究去脉
引文网络交叉学科
相关学者/机构
期刊影响力
经济科学研究(英文)
季刊
2630-5240
12 Eu Tong Sen Stree
出版文献量(篇)
44
总下载数(次)
0
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0
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