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Risk Research, Multinational Financial Management

Posted on:2006-05-24Degree:MasterType:Thesis
Country:ChinaCandidate:J XuFull Text:PDF
GTID:2206360152989374Subject:Accounting
Abstract/Summary:
Because of the newly emerging problems, such as the economic globalization, the management network, the distribution of intelligent capital and so on, compared with the domestic financial management in the past, the international financial management, which is in a more complicated circumstance and limited by lots of volatile factors having so many uncertainties, is now facing a greater challenge with more risks. Therefore, how to take advantage of the available situation, exert its superiorities, boost the capability of risk management and elude the risks rationally is the important question that the Transnational Corporation must confront and solve. Due to the reasons above, the risk problem in the Transnational Corporation financial management is chosen as the subject., with the help of the relevant studies of financial engineering, the risk management and the enterprise management, in this paper the antitheses, the taxonomy and the financial analysis are used to probe into how to improve the capability of risk management in Chinese Transnational Corporation and carry out the financial management based on all the risks in practice. At the angle of financial management, the risks confronted by the Transnational Corporation are resorted and a risk management system including risk recognizing, evaluation and controlling is set up. Then three particular risk controlling methods-political risk, interest risk and exchange risk are present in detail. At last, the status quo and controlling strategy of the risk management of Chinese Transnational Corporation are analyzed, which can direct the Chinese enterprise to get its own advantages in the competition.
Keywords/Search Tags:Transnational Corporation, the risk management, the multinational financial management
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