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Research On Asset Evaluation Risk Management

Posted on:2004-08-08Degree:MasterType:Thesis
Country:ChinaCandidate:Y LiuFull Text:PDF
GTID:2156360092981826Subject:Business management
Abstract/Summary:PDF Full Text Request
Now, in our country, there are more and more hidden troubles arising in the asset evaluating. When the risks become the loss, people just are aware of the seriousness of the risks in asset evaluating. But, until people hope to find out the valid method to avoid the risk, they just discover that there is blankness in study of the risk of asset evaluation.Therefore, this paper is based on the asset evaluation practice of our country, analyzing the asset evaluation risk's innate character and essence; analyzing the result of many risk factors, such as society risk, organization risk, staffers risk and so on; in the same time, this paper also try to through applying the risk management theory, such as some management model, controlling technology, analyzing method and so on, in order to find out the effective solution to keep away and also control every kind of the asset evaluation risk. This paper has a far-sight studying of the asset evaluation risk management in company.Main body of this paper can be divided into five parts:The first part(Chapter One):To introduce the meaning of this task, and until now, what has been acquired through many years' research in the world. Also, to present this paper's frame-saw.The second part (Chapter Two): By describing the concept and characters of h the risk; by describing the essence and the process of the risk management; by giving a clear definite of "The Asset Evaluation Risk", explaining its character, inducing the views concerning the risk categories at the same time, in the last, introducing the leading actor-"risk management of asset evaluation", and discussing its quality and its scope.The third part (Chapter Three): On the foundation of the clear and definite content of the asset evaluation risk, it analyzes the reasons, and then subdivides the asset evaluation risk's main factors, which result in different risk performance. And also thispart gives a detailed analysis of those risk factors. So this paper gives a detailed analysis of the relationship between the asset evaluation risk and the asset evaluation responsibility.The fourth part (Chapter Four): It is the emphasis of this whole paper. Against those analyses, finally, this part mainly discusses about some countermeasures. Especially, the organization should put the emphasis on establishing a system to manage the risk-the so-called risk management of asset evaluation. Through applying the risk management theory, this part discuss about how to establish the record of risk, about how to identify the risk, and about how to estimate and appraise the risk, and about how to control and reduce the risk. In another, the organization also should take some other measures to reinforce the management, such as perfecting the system, training the personnel and so on.The fifth part (Chapter Five): On the other side, it is worth thinking much of amending exterior environments. Those such as healthy statute system, perfect management system, occupation insurance system and so on are efficiency.
Keywords/Search Tags:Asset Evaluation, Asset Evaluation Risk, Risk Management
PDF Full Text Request
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