This paper makes an empirical analysis on the "post financial crisis era"stock market's fluctuations from the point of the level of economic growth,and demonstrates the relations between the fluctuations of stock market and macro economic,which is contributed to understand the general rules of the stock market volatility.%本文从经济增长水平角度对"后金融危机时代"的股市波动进行实证分析研究,论证股市波动与宏观经济之间的关系,有助于了解股市波动的一般规律。
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