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Research On Financial Fisk Management Of The Information Technology Industry Companies

Posted on:2014-05-13Degree:MasterType:Thesis
Country:ChinaCandidate:H LiFull Text:PDF
GTID:2269330425491505Subject:Business management
Abstract/Summary:PDF Full Text Request
2013is the third year of country’s "12th five-year", the implementation about the strategy of Technological innovation leading to the transformating of economic development pattern which providing a broad space for the IT industry’s development. China’s IT industry has a collection of high-tech, high-growth and high-risk features, there is a huge difference in business development, product development, market promotion, profit model innovation with traditional business,its exposure to the financial risk is more prominent than other industries.The article elaborated the corporate financial risk management theory, then Identifying financial risks about listed companies in the information technology industry from four aspects such as financing risk, investment risk, the risk of the recovery of funds, income distribution from the financing risk, investment risk, the risk of the recovery of funds, distribution of income risk financial risk identification. At the same time, we selected25financial indicators, using factor analysis and logistic regression analysis to establish the financial early warning model which applied to information technology industry listed companies.Finally, inspired by a the philosophy of COSO comprehensive risk management, IT industry listed companies should implemente the financial risk management from seven aspects such fa corporate governance, goal setting, risk identification, risk assessment, risk management of financial activities, financial risk information systems, information disclosure, and strengthening external supervision.
Keywords/Search Tags:Information technology industry, Listed company, Financial risk
PDF Full Text Request
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