2016
DOI: 10.11114/aef.v3i2.1401
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Theory Research of Value Investing Based on Market Position

Abstract: Abstract:This paper divides the net assets of a company into net operating assets (Equity) and net financial assets on the basis of Ohlson residual income model. Under the assumption that excess surplus income can only be generated from the net operating assets, the account of unearned revenue is selected as an efficient indicator reflecting a company's market position and a new model of value investing theory is built based on market position. Moreover, statistics of Chinese capital market from 2003 to 2011 a… Show more

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“…JeremyJ. Siegl warns investors not to blindly follow suit, and identifying the real content also provides a good inspiration for this article to compare the two models [5].…”
Section: Introductionmentioning
confidence: 99%
“…JeremyJ. Siegl warns investors not to blindly follow suit, and identifying the real content also provides a good inspiration for this article to compare the two models [5].…”
Section: Introductionmentioning
confidence: 99%