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Analysis of Corporation Finance Risk Control-pondering by the Financial Crisis

机译:金融危机思考公司金融风险控制分析

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Corporation's performance and value are the issues which the academic paid more attention, but the risk of corporation often be overlooked. From the perspective of financial risk management, The author analysis the problems of China enterprises in the finance control, such as low rate of self-owned capital, weak liquidity, lack of rational management and inappropriate incentives. And then made some recommendations in the period after the financial crisis, Chinese enterprises should maintain reasonable levels of debt, Improve the early-warning and monitoring financial risk mechanisms, construct the corporate governance structure etc. This analysis has great significance to promote the implementation of financial risk control.
机译:公司的表现和价值是学术更多关注的问题,但公司经常被忽视的风险。从金融风险管理的角度来看,作者分析了中国企业在金融控制中的问题,如单一的自资资本,流动性弱,缺乏合理的管理和不恰当的激励措施。然后在金融危机期间做出了一些建议,中国企业应保持合理的债务水平,改善预警和监测金融风险机制,构建公司治理结构等。这种分析具有重要意义促进实施财务风险控制。

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