摘要
首先考察了中国金融类海外并购的现状,然后从经济全球化的深入发展,全球经济体加速融合、中国政府的鼓励性政策、中国公司治理结构的改进、美国次贷危机提供的契机四个方面探讨了中国金融类海外并购的动因。并从已有的并购案例、人力资源短缺、战略规划、并购后的整合以及政治风险等五方面探讨了中国金融类海外并购面临的风险,同时提出了相应的应对措施。
At first, reviews the overseas merger and acquisition actualities of Chinese financial enterprise, second, from aspects of deep development of economic globalization, stepped - up integration of global economic community, Chinese government's encouragement policies, improvement of Chinese enterprise governance structure and chance provided by junior mortgage crisis in USA discusses the motives of overseas merger and acquisition of Chinese financial enterprise. From the aspects of merger and acquisition cases, shortage of human resources, strategic plan, integration and political risk after merger and acquisition discusses the overseas merger and acquisition risk of Chinese financial enterprise, at the same time puts forward the corresponding measures.
出处
《沈阳工程学院学报(社会科学版)》
2008年第3期338-340,共3页
Journal of Shenyang Institute of Engineering:Social Science
关键词
金融类企业
海外并购
动因
风险
对策
financial enterprise
overseas merger and acquisition
motive
risk
countermeasure