66.57MB.RAR
Data range: 2001-2022, 47,581 observations, all A-share listed companies have been excluded from the sample of financial industry, STPT, and insolvency.
Indicators include:
CashFlow: Net cash flow from operations / Total assets at year-end
ROA_Net Profit: Net Profit / Average Total Assets
ROA_Earnings before interest and taxes:
EBITDA / Average Total Assets Earnings Volatility 1: Three-year volatility of ROA_Net Profit, i.e., t-2 to t standard deviation
Earnings Volatility 2: Three-year volatility of ROA_Net Income, i.e., year t to year t+2 standard deviation Earnings Volatility
3: ROA_5-year volatility of net income, i.e., t-2 to t+2 standard deviation earnings volatility
4: Three-year volatility of ROA_EBITDA, i.e., year t-2 to year t standard deviation earnings volatility
5: Three-year volatility of ROA_EBITDA, i.e., year t to year t+2 standard deviation earnings volatility
6: ROA_5-year volatility of EBITDA, i.e., t-2 to t+2 year standard deviation earnings volatility
7: Three-year volatility of ROA_Net Income, i.e., t-2 to t-year standard deviation, with annual industry-adjusted earnings volatility
8: Three-year volatility of ROA_Net Income, i.e., standard deviation from year t to year t+2, with annual industry-adjusted earnings volatility
9: Five-year fluctuation of ROA_Net Profit
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