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Research On Financial Risk Management Of Company M

Posted on:2021-01-13Degree:MasterType:Thesis
Country:ChinaCandidate:D H XieFull Text:PDF
GTID:2439330632951599Subject:Accounting
Abstract/Summary:PDF Full Text Request
The real estate industry is an important part of the market economy and national economy in many developing countries,and plays an important role in economic development.At the same time,the real estate industry has a strong correlation with many industries such as construction and machinery.Its huge industry influence always affects the national livelihood and the development direction of the national economy.The real estate industry is also a capital-intensive industry.The demand for capital is extremely high,and it has the characteristics of huge investment amount,long investment cycle,and high degree of risk.At the same time,the state is constantly strengthening the regulation of the real estate market,which has exacerbated the financial risks of the real estate industry.How to deal with various financial risks and take appropriate preventive measures has become a problem that the real estate industry must solve at present.In this paper,M company is selected as the target enterprise,It mainly conducts financial risk management research in combination with M company,hoping to sort out the current financial risks of M company through the research,and targeted to provide solutions to the countermeasures.In the theoretical part,I mainly introduce the basic theories related to financial risk management,and conduct the next in-depth study on the basis of the relevant theoretical basis of research and the research results of predecessors.In the case analysis part,the basic status quo and existing problems of financial risk management of M company are introduced in detail at first,and the far-reaching influence that these problems may bring is analyzed;At the same time,it introduces the basic financial risk management of M company,mainly including the company profile and operation status.Secondly,the overall financial risks of M company were identified and analyzed.The financial risks were identified from the company's investment management activities,financing management activities and real estate operation and management activities by using the report analysis method.Finally,aiming at the problems in the process of financial risk management of M company,the author proposed relevant solutions,which can provide reference for the financial risk management of M company and similar corporate financial risk management strategies of M company,and enrich the research literature on financial risk management.
Keywords/Search Tags:M company, financial risk management, financial risk identification, financial risk assessmen
PDF Full Text Request
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