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Study On Financial Strategy Management Based On Risk

Posted on:2009-06-10Degree:MasterType:Thesis
Country:ChinaCandidate:J YangFull Text:PDF
GTID:2189360242499500Subject:Management Science and Engineering
Abstract/Summary:PDF Full Text Request
Financial strategy of enterprise should be established in the enterprise's extended development. The risk factor is an important aspect in the process of the financial strategy decision and the financial strategy management. It is more important to avoid the risk than to obtain income. Financial strategy risk has become an unavoidable realistic question of enterprise. Only when the problems of strategy risk management are solved, can enterprise achieve new competitive advantages. In the environment of enterprise, the risk and the uncertain control is the core of management.The paper analyzes the reason of the financial strategy risk from establishing and implementing of the financial strategy, then proposes the corresponding strategy through standardization study. The paper includes four parts, and the main contents are designed as follow:Part one: Strategy Risk and Financial Strategy Management. This part points out the deficiency of the study on the Financial Strategy Management by commenting on the related theory. Then it introduces the necessity of study Financial Strategy Management from the risk angle.Part two: Formation mechanism of the financial strategy risk. This part firstly analyzes the risk factors in the process of establishing and implementing of the financial strategy, then discusses these formation mechanisms.Part three: Establishment of the financial strategy based on risk. Considering risk influence factor, this part firstly constructs the model of establishing the financial strategy based on the risk, then analyzes each stage risk character of the enterprise life cycle and chooses the corresponding financial strategy.Part four: Implementing of the financial strategy based on risk . In the process of the financial strategy implementation, risk influences the finance strategic target because of the change of risk factor and risk pressure. So this part adopts the corresponding strategy and discusses safeguard measures of financial strategy implementation.
Keywords/Search Tags:Financial Strategy Risk, Formation Mechanism, Financial strategy Establishment, Financial Strategy Implementation
PDF Full Text Request
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