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| 论文编号: | 2524 | |
| 作者编号: | 2220080828 | |
| 上传时间: | 2010/6/11 14:07:43 | |
| 中文题目: | 中海地产长春公司财务风险评估与防范研究 | |
| 英文题目: | The Research on Financial Risk Evaluation and Prevention of China Overseas Real Estate ChangChun Company | |
| 指导老师: | 刘志远 | |
| 中文关键字: | 关键词:房地产业;中海地产长春公司;财务风险;评估;防范 | |
| 英文关键字: | Key Words:Real estate industry;China Overseas Real Estate ChangChun Company;Financial risk;Evaluation;Prevention | |
| 中文摘要: | 进入21世纪,我国房地产行业发展迅猛。房地产政策的不断改进以及金融政策的不断创新为房地产企业创造了越来越广阔的发展空间。然而,由于房地产行业自身具有高投资、高风险、高收益性,加上我国房地产行业尚不够规范化,金融体系还不完善,房地产企业在迅速发展的同时,也承受着巨大的财务风险。近年来,随着中海地产长春公司资产规模的不断扩大,公司资金需求量、管理跨度和管理层级相应增加,而与此同时,政府对房地产业的宏观调控也逐渐加强,这使得公司出现财务风险的可能性也大大加强。中海地产长春公司如何赢得市场并实现可持续发展,关键是要充分利用内部的优势,克服外部的不利条件,提高风险评估能力,有效防范财务风险。 本文首先回顾了国内外学者对企业财务风险管理和企业财务风险评估相关理论研究成果,并阐述了房地产企业财务风险的基本理论。在此基础上,介绍了中海地产长春公司的基本情况,并结合宏观经济环境以及公司实际经营管理的特点,分析了公司当前面临的各种财务风险;然后,针对风险的产生环节,构建中海地产长春公司财务风险评估系统;最后,探讨了完善中海地产长春公司财务风险防范的方法和策略。 | |
| 英文摘要: | In the 21st century,real estate industry in China has developed rapidly.The improvement of real estate policies,as well as the innovation of financial policies continuously create more and more broad development space for real estate business.However,because the real estate industry shows the following characteristics:high investment,high risk and high return, coupled with the real estate industry in China is still not standardized and financial system is far from perfect,so the real estate enterprises has bear tremendous financial risks.In recent years,with the continuous expansion of China Overseas Real Estate ChangChun Company’s asset scale,the capital requirements,management spans and management classes increase monotonically,at the same time,the government macro-control strengthen gradually, all of which increase the possibility of financial risk.China Overseas Real Estate ChangChun Company how to gain market and realize sustainable development,the key is making use of the internal advantage and overcoming the external unfavorable condition,also improving the risk recognition and warning ability,preventing financial risk effectively. This paper reviews the domestic and foreign reasearch related to enterprises financial risk management and financial risk evaluation at first,then represents the basic theories of real estate enterprises financial risk.After that,the paper introduces the information of China Overseas Real Estate ChangChun Company and analyzes the specific forms of China Overseas Real Estate ChangChun Company’s financial risk combined with the macro economic environment and management characteristic of China Overseas Real Estate ChangChun Company.According to the risk stages,the paper constructs China Overseas Real Estate ChangChun Company financial risk evaluation system.At last,the paper puts forward to methods and strategies,which in order to perfect China Overseas Real Estate ChangChun Company financial risk prevention. | |
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