房地产行业财务风险控制研究
Research on Financial Risk Control of the Real Estate Industry
摘要:
针对房地产行业高财务杠杆容易引发高财务风险的客观实际,结合国家宏观调控政策和供给侧改革战略实施对房地产业发展的影响,围绕企业财务风险管理薄弱的现状,采用实地调查、文献检索、判断分析、逻辑推理等方法,运用风险管理理论,系统地识别了房地产企业财务风险的各种类型,基于此,介绍了适宜房地产企业财务风险评估的定量评价和定性分析方法,并重点针对需防控的中度财务风险和非规避性重度风险提出了有效的控制策略。
Abstract:
In view of the fact that the high financial leverage in the real estate industry can easily lead to high financial risks, and considering the impact of the implementation of the national macro-control policy and the supply-side reform strategy on the development of the real estate industry, and focusing on the current situation of the weakly financial risk management of enterprises, this paper adopts the methods of on-the-spot investigation, literature retrieval, judgment analysis and logical reasoning. Based on risk management theory, this paper systematically identifies various types of financial risks of real estate enterprises, introduces quantitative evaluation and qualitative analysis methods suitable for financial risk assessment of real estate enterprises, and puts forward effective control strategies for medium financial risks and non-evasive severe risks that need to be prevented and controlled.
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