摘要
企业管理者对于自身汇率风险应急机制情况的准确了解可以增强应对汇率风险的能力,如何客观地对汇率风险应急机制进行综合评价就显得至关重要。基于应急管理理论与汇率风险的特点,建立了汇率风险应急机制指标体系,然后利用层次分析法确定评价指标权重,运用属性测度理论构建了评价模型。最后通过算例分析,说明了该方法有可行性,能够为管理者提供科学、合理的决策依据。
Getting an accurate understanding of emergency mechanism of exchange rate risk,enterprise governor can improve the capability of emergency management. And how to objectively evaluate the emergency mechanism of exchange rate risk is important. Based on the theory of emergency management and the characteristics of exchange rate risk,the emergency mechanism of exchange rate risk index system was built,and the evaluation index weights was determined by AHP,and the evaluation model based on the attribute measure theory was established. Finally,exemplification study shows that the method is feasible. It can offer scientific and reasonable basis for the administrator in making decision.
出处
《重庆理工大学学报(社会科学)》
CAS
2015年第3期11-16,共6页
Journal of Chongqing University of Technology(Social Science)
基金
国家社会科学基金项目"我国企业汇率风险承受能力及应急机制研究"(12XJY030)
重庆理工大学研究生创新基金项目"我国外贸企业汇率风险应急机制研究"(YCX2013229)
关键词
汇率风险
应急机制
属性综合评价系统
exchange rate risk
emergency mechanism
attribute synthetic evaluation system