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The Research On The Financial Risk Management Of China Fortune Land Development Co.,Ltd

Posted on:2019-01-27Degree:MasterType:Thesis
Country:ChinaCandidate:Z CaoFull Text:PDF
GTID:2439330548950880Subject:Business management
Abstract/Summary:PDF Full Text Request
It has spent the market demand,the golden age of the enterprise performance by leaps and bounds for China's real estate industry.And traditional real estate development business have been facing market differentiation serious,land prices are rising,young people to a second-tier cities into the market situation,the traditional enterprise reform.The CFLD has been deep ring of Beijing area and industry new town development as the management characteristic,and Beijing-Tianj in-Hebei collaborative development strategy and male the positive impact of the new strategy,performance in recent years.Nevertheless,the company's large stock land,multiple simultaneous development of the business model also brought greater financial chain pressure.In addition,due to the construction of industrial new town more concentrated in the center of the ring of Beijing area,Yangtze river delta and the pearl river delta city of surrounding areas,the regional house prices volatility is greater than a second-tier cities,the PPP mode of company capital payback period is longer than the traditional enterprise,and more prone to shortage of liquidity.This paper follows the thought of "Discovering Problems--Analyzing Problems--Solving Problems".The logic of the thesis is as follows:chapter 1 is the introduction.In chapter 2,it introduces the theory of financial risk and summarizes the research status at home and abroad.In chapter 3,this paper analysis the company's basic situation,business model,and introduces the development strategy.In chapter 4 from two aspects of financial conditions,financial ratios of CFLD in financial analysis,found that the company's financial risk has been highlighted,and the evident.In order to prevent this,this paper adopts the standard process of risk management to help CFLD manage financial risk.In chapter 5 combines the current financing area of tighter financing environment,points out that the happiness of an ancient name for China company "active layout,innovative and progressive" development strategy of the expansion of the capital chain to produce high pressure,easy to induce all kinds of financial risk,and to our happiness,which can identify the company's financial risk of the financial risk of inducing risk source is analyzed.In chapter 6,it constructs the financial risk assessment index system of CFLD,determines the index weight,calculates the financial risk assessment value of 2014-2016,and analyzes the trend of the overall financial risk.In Chapter 7 design financial risk control measures for CFLD.The eighth chapter summarizes the full text,puts forward the research deficiency,and carries on the prospect.The article analyzed and summarized financial risks of CFLD in details,combining relevant financial data extracted from financial statement of the company established a evaluation model,so to quantified the financial risk evaluation of this company which helped us to judge the risk more objectively,realized precaution and prevention of financial risk more effectively.Moreover,the article specifically analyzed the operation and developing strategy of CFLD,designed financial risk control measure in all aspects including liquidity risk and financing risk.These measure shall helped the Company to improve its financial risk control ability and lower its financial risk cost so to improve its overall core competitiveness.In the end,the article revealed the financial risk exposure of CFLD under its current aggressive expansion strategy,and tailored a reasonable financial risk control measure for it.
Keywords/Search Tags:Financial Analysis Development Strategy, Financial Analysis, Financial Risk, Risk Assessment, Grey Correlation Analysis
PDF Full Text Request
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