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The Gem Listed Company Equity Incentive Effect Research-The Case Of JD

Posted on:2018-05-29Degree:MasterType:Thesis
Country:ChinaCandidate:H Y YuFull Text:PDF
GTID:2359330515456718Subject:Accounting
Abstract/Summary:PDF Full Text Request
VIE mode is the control protocol model,has been used in our country for more than and 10 years,since Sina achieved its first overseas listing,overseas listing of Internet Co more and more.2011,led by Ma Alibaba,unilateral breach of contract,the problem will be exposed under the VIE model.As a result,the stock market has a serious crisis of confidence,so that the stock price fell sharply and other serious adverse consequences.The consequences of the emergence of many of the intention of enterprises listed overseas through the timid step,resulting in the majority of enterprises to return to the Inland market.In order to enterprise more detailed analysis of the VIE mode of financial risk,so the company real case as the entrance,analysis first studies the case of enterprise,then analyzes the characteristics of the VIE mode,and the characteristics of the implementation of the mode of enterprise,basic construction and enterprise VIE model,a detailed analysis of the the company has the relevant financial risk,from the analysis of recognition now uses the VIE model of listed companies with the corresponding financial risk.There are two main forms of financial risk,that is,the broad sense and narrow sense of financial risk.In order to analysis,combined with the listed company for the financing situation,and Sino US differences for the disclosure of financial statements,both at home and abroad and the VIE model of the relevant policies and regulations are studied,and the change of policy and regulation.Taking the financial risk management of enterprises as the theoretical basis of the study,and the listed companies to deal with financial risks.Taking into account the types of financial risks of the enterprise,as well as the deficiencies in these risks,the author puts forward some opinions and suggestions on dealing with financial risks.First introduced the concept of financial risk,causes of financial risk,the financial risk of the main course of research,and the characteristics of financial risk analysis,the basic theory of knowledge evaluation and control related to the financial risk,and the fundamental theory are discussed.Then,combined with the company's case,the above financial risk theory and methods applied to the company.On the risk and the type of company is analyzed,and the consequences for the company,and put forward the corresponding opinions and suggestions,from the organizational structure of the company,making the strategy,the company's strategic objectives and in the actual implementation process,to face the financial risk reasonably warning,prevention,avoidance and control.
Keywords/Search Tags:VIE model, overseas listing, financial risk
PDF Full Text Request
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