摘要
2008年,美国次贷危机席卷全球,百年一遇的国际金融危机一度让全球经济深陷动荡,随之而来的是各国经济的持续萎靡,国际市场需求大幅萎缩。在如此大规模的国际贸易风险冲击、世界经济形势急剧下滑、生产要素成本快速攀升的尴尬境遇中,企业如何强化自身抗风险能力,有效规避风险并做好相关管理规制工作。从国际贸易风险的相关理论展开话题,针对某S公司所面临的国际贸易风险现状进行分析,从多个角度阐述该企业规避风险的相关对策。
In 2008,American subprime mortgage crisis swept the world,and the once-in-a-century international financial crisis once made the global economy in deep turmoil with the following economy slowing of all the countries and sharp shrinking in international market demands.In such embarrassing situation of the large scale international trade risk impact,a sharp fall in world economic situation and rapidly rising of production factors cost,it is of great importance for enterprises to strengthen their own ability to resist risks,to effectively avoid risks and to make better management regulations.This paper discusses the relevant theories on international trade risks,analyzes the current situation of international trade risks faced by the S company and expatiates the relevant countermeasure of risk aversion from multiple perspectives.
作者
王芳
Wang Fang(Guangdong Teachers College of Foreign Language and Arts,Guangzhou 510000,China)
出处
《黑河学院学报》
2017年第12期66-67,共2页
Journal of Heihe University
关键词
国际贸易
风险规避
对策
international trade
risk aversion
coping strategies