摘要
通过国内外矿业公司发展的典型实例以及对国际矿产市场变化的分析,探讨了矿业投资的风险来源和控制风险的基本战略。矿产的特殊性决定了矿业投资的高回报和高风险是紧密相关的,矿业利润的来源和生产的特点决定矿业投资风险主要包括矿产勘查风险、矿业市场风险和经营管理风险。针对这些风险的特点,能够控制风险的基本战略包括重用地质学家、控制优势资源、巧借他人之力、超前市场预测和科学规范管理等5方面的措施。
This paper analyzes the development of domestic and foreign mining companies, as well as some typical examples of changes in the international mineral market and explores the sources of risk investment in mining and basic strategy of risk control. The specificity of mineral mining investment determines high return-high risk, the mining profit and production characteristic determine the major mining investment risks, including risks of mineral exploration, mining market risk and operational risk manage ment. In response to these risk characteristics, the basic strategies of control the risk include reuse geologists in important position, control advantages of resources, using other people's strength, market forecast, scientific and standardized management .
出处
《地质找矿论丛》
CAS
CSCD
2009年第2期172-178,共7页
Contributions to Geology and Mineral Resources Research
关键词
矿业市场
投资风险
风险控制
mining market
investment risk
risk control