摘要
银行并购是风险最大的一种企业组织行为,在银行并购过程中,存在诸如产权风险、管理风险及并购战略风险等,对此,通过运用"市场——规模"模型和"战略组合"模式来探寻银行并购风险及控制,以确保银行并购顺利进行和并购目标的最终实现。
Bank mergers and acquisitions are a corporate organizational behavior with most at risk.There are risks such as property rights.riskmanagement and M & A strategy and so on in the process of bank mergers and acquisitions.ln this regard,through the use of "market-scale"model and "strategic combination"pattern, we can find the risks of bank mergers and acquisitions and search for the method to control it.in order to ensure the smooth progress of bank mergers and acquisitions to achieve the ultimate goal.
出处
《特区经济》
北大核心
2008年第11期77-79,共3页
Special Zone Economy
基金
湖南省软科学计划项目"我国商业银行并购问题的部分研究"的部分研究成果
项目编号:04ZH3017
关键词
银行并购
风险控制
银行联盟
Bank mergers and acquisitions
Risk Control
Bank Union