摘要
由于市场竞争、优胜劣汰机制的作用,使企业面临的风险比以往任何时候都更为严峻。为了使企业在重重风险中立于不败之地,在激烈的市场竞争中求得生存和发展,就必须建立一套可行的企业财务预警系统,以便有效地控制企业风险。本文着重从财务分析学的角度探讨了几种基于财务比率因素的财务预警系统管理的模型预警方法。
As a result of the effect of market , enterprises face market risk more seriously than ever . Enterprises must establish a set of feasible financial early- warning system in order to develop in market conditions . Only thus enterprises can effectively control risk . This paper formulate several model of financial early- warning based on financial ratio from the angle of financial analysis.
出处
《技术经济》
2006年第8期76-78,57,共4页
Journal of Technology Economics
关键词
模型
财务风险
财务预警系统
Model
Financial Risk
financial early - warning system