摘要
现代社会全球化竞争、突发事件、快速发展的技术变革等风险驱动更加剧市场风险的发生。由于风险具有多样性和不确定性,公司各项经营与各种风险总是共同存在,要绝对安全是很难。当前,在我国新冠肺炎已达到可控及利好情况下,是公司恢复生产和正常经营阶段,在此,往往会带来一些蝴蝶效应,甚至巨大的连锁反应。全文将从全面风险管理理论的概述入手,分析公司在新冠疫情中风险管理存在的问题。在此基础上,本文对公司全面风险管理进行了针对性分析,并提出了相关应对策略,让公司能够保持稳定的运营状态,稳步提升经济效益,以供参考。
Risks such as global competition,emergency events,and rapid technological changes in modern society drive the occurrence of more serious market risks.Due to the diversity and uncertainty of risks,the company's various operations and various risks always coexist,and it is difficult to be absolutely safe.At present,when the 2019-nCoV in China has reached a controllable and favorable situation,it is the stage for the company to resume production and normal operation.It will often bring some butterfly effects and even a huge chain reaction.The paper will start with an overview of comprehensive risk management theory and analyze the company's risk management problems in the the 2019-nCoV.On this basis,this article makes a targeted analysis of the company's comprehensive risk management,and puts forward relevant coping strategies,so that the company can maintain a stable operating state and steadily improve economic benefits for reference.
作者
付大兴
FU Da-xing(Kunshan Freeport International Trade Co.,Ltd.,Suzhou 215300,China)
出处
《价值工程》
2020年第18期29-30,共2页
Value Engineering
关键词
风险管理
应对
策略
risk management
response
strategy