摘要
融通仓融资模式通过降低中小企业信用风险解决了其融资困难问题,然而,随着融通仓融资模式开展其衍生风险逐渐凸显,对银行实行供应链金融产生巨大威胁。本文通过识别衍生风险及影响因素并建立衍生风险评价体系,再利用G1法确定衍生风险因素权重排序,并提出适合衍生风险评价的方法。
FTW financing model solves the financing difficulties through reducing the credit risk of SMEs. However, as the FTW financing model carry out, its derivative risks become increasingly prominent. Banks have a huge threat for the implementation of supply chain finance. This paper creates derivative risk assessment system by identifying the risks and impact indicators. It uses G1 method to determine the weight sorting of the derivative risk factors, and proposes risk assessment methods for derivatives risk.
出处
《价值工程》
2015年第10期57-59,共3页
Value Engineering