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Research On Financial Risk Identification And Control Of ML Real Estate Company In Jiangsu Province

Posted on:2019-10-22Degree:MasterType:Thesis
Country:ChinaCandidate:X D FanFull Text:PDF
GTID:2439330548965263Subject:Business Administration
Abstract/Summary:PDF Full Text Request
Key in our country is in much starker choices-and graver consequences-in planning,comprehensive critical period of deepening reform,build a well-off society in an all-round way of the important period,due to changes in China's economic structure,land prices soared quickly,economic rights long slow both at home and abroad,trade slowed,China's economy under the new normal,the way of important strategic opportunities,also faces the pressure of economic downturn,the risk increased.As a"land Kings",land prices,housing sales prices,need to alert behind the prosperity of financial risks.This series of adjustment policies make the most of the real estate enterprises is huge impact,is likely to lead to real estate market,the phenomenon of the polarized,poor most of the power of the real estate enterprise to be eliminated.So want to survive in the real estate industry depth adjustment in a wave of elimination and control of financial risk to the enterprise now and it is particularly important to the healthy development of the future.This paper is divided into six parts.The first part is the introduction,which mainly focuses on the background,research significance,current situation of domestic and foreign research,research topic and method.The second part is the basic theoretical analysis of financial risk,including the concept,type,influencing factor and financial risk identification method of enterprise financial risk.The present situation and analysis of the financial risk of real estate enterprises;The fourth part is the research object of this article--ML real estate company's financial risk analysis,this paper introduces the basic situation of ML real estate and business development present situation,proposed ML problems that exist in the real estate company's financial risk management,based on 2012-2016 financial data from financing activities,capital operation risk,investment risk and profit allocation risk analysis of four dimensions,and Z3 model based on ML real estate company financial risk identification.The fifth part is the financial risk control of ML real estate.The sixth part summarizes and prospected the work done in this paper.Through case analysis,this paper put forward for real estate company has the application value of preventive measures,so as to provide reference sample,guidance is similar to ML real estate company in jiangsu province's real estate company in financial risk management.
Keywords/Search Tags:real estate company, Financial risk, Risk identification, Risk prevention
PDF Full Text Request
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