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“后金融危机”下广东省外向型企业策略选择——基于风险管理视角 被引量:1

Strategic Choice for Export-oriented Enterprises of Guangdong Province in Post-financial Crisis ——Based on Perspectives of Risk Management
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摘要 2008年由美国"次贷危机"引发的金融危机以迅雷之势于全球蔓延,中国不可避免遭受巨大影响。基于"后金融危机时代"的严峻国际形势和经济环境,中国尤其是处于前沿的广东省外向型企业如何应对危机,是当前急需解决的重大课题。应从风险管理角度切入分析其受影响状况及对原因进行深入剖析,并着重从风险预防维度提出建议,从而提升该类企业整体抗风险能力,稳定运行。 The Financial Crisis caused by Subprime Crisis has spread over the world in a sudden in 2t)0~. China, as a partner of USA, has a inevitable affection. Enterprises have suffered from reduction of output to bankrupt along the coast of east and south of China. Facing the severe international situation and economic environment, the export-oriented enterprises of China, how to deal with the crisis and find new opportunities to be safety is the very key be solved urgently. From the scope of Risk Management, analyzing the influence and reasons of the export-oriented enterprises of Guangdong Province, the paper offers suggestions from the dimension of risk prevention to strengthen the ability of risk control and stable operation.
出处 《韶关学院学报》 2014年第1期103-106,共4页 Journal of Shaoguan University
关键词 后金融危机 外向型企业 风险管理 post-financial crisis export-oriented enterprises risk management
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