With Strengtented Market Competition in marketasle economics , financial activities of company faced inevitably financial exposure . It exists objectively for each Company . It is unrealistic to eliminate thoronghly the effects of financial exposure . In the operating processes , Companies only learn and avoid them partly . The paper applies each sectionof fund circle and turnover , and analyies the kinds of financial exposureand relative effect factors of financial exposure extent . It usesgradation analysis method to create the model - Components regressionforecast model to facilitate to evaluate it comprehensivly from two aspects of quantity and quality analysis . By the model , we may find out primary factors of affecting financial states of Compaany , and manage and Control financial exposure objectivly .
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