摘要
随着世界经济的不断发展,上市公司更容易被世界经济总体趋势影响。上市公司如何健全财务风险控制和制定应对策略,成为企业财务管理者的主要关注点。论文以T公司为例,对上市公司资产管理风险进行了分析。
With the continuous development of the world economy,listed companies are increasingly affected by the overall trend of the world economy.How to perfect the financial risk control and formulate coping strategies has become the main concern of the financial managers of listed enterprises.Taking company T as an example,the paper analyzes the asset management risk of listed companies.
作者
张译丹
ZHANG Yi-dan(Southeast University Chengxian College,Nanjing 210088,China)
出处
《中小企业管理与科技》
2021年第22期13-14,共2页
Management & Technology of SME
关键词
上市公司
资产管理
风险
listed company
asset management
risk