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Research On Financial Risk Management Of H Real Estate Company

Posted on:2020-10-19Degree:MasterType:Thesis
Country:ChinaCandidate:B Q FengFull Text:PDF
GTID:2439330602462514Subject:Business management
Abstract/Summary:PDF Full Text Request
With the rapid development of China's economy,the real estate industry has risen rapidly and has gradually become one of the pillar industries in China.The real estate industry is characterized by high investment risks,large investment funds,long development cycle,etc.,and its rise and fall affects many industries,such as construction,home appliance,building materials,etc.Therefore,the high-risk characteristics of the real estate industry make real estate companies The risk management is more concerned,and its development has also been closely watched by all parties.At the same time,housing prices have soared in recent years The state has introduced a series of policies to guide the healthy and steady development of the real estate industry.This series of measures reflects the country's determination to strictly control housing prices and guarantee housing.The various problems exposed by the particularity of real estate companies,such as high asset-liability ratio,financing risks,and risk of investment recovery,have also begun to emerge.In such a special period,how to continue to develop real estate companies,how to overcome the adverse effects of their own characteristics,how to control and prevent financial risks,these issues need to be worthy of in-depth discussion,research and analysisThis paper mainly adopts the form of case study.It first introduces the research background,purpose and significance of the article,reviews the research dynamics at home and abroad,and briefly describes the basic concepts and related theories,and the definition and characteristics of real estate companies and real estate companies.The characteristics of financial risks,followed by the introduction of H real estate company,and based on H real estate company 2015-2018 related financial data,combined with the company's management status,using case analysis methods for H real estate companies including financing,investment,operations,capital recovery,etc.Data analysis within the financial situation.At the same time,it analyzes the current situation of H real estate company's financial risk management,and then combines the development of the industry,and finally concludes that H real estate company,s financial risk management is insufficient and H real estate company,s financial risk management is insufficient,and then H real estate company's Financial risk management makes recommendations to provide a reference for the future development of H real estate companies.
Keywords/Search Tags:Real estate enterprise, Financial risk management, Risk identification, Prevention and control
PDF Full Text Request
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