摘要
全球商业领域,企业并购已成为主流的战略选择,帮助公司扩展业务、提高竞争力。但伴随并购而来的是一系列风险和不确定性。因此,深入了解并购风险的性质、类型和管理策略,对于确保并购活动的成功至关重要。文章专注于企业并购中的风险管理研究。首先探讨了并购风险的范畴,包括财务、法律、市场等方面的潜在问题。接着展示了如何识别特定风险,并通过实例分析,提供了对风险的有效管理和应对策略,文章中还强调了并购后的整合过程中,持续风险监控的重要性。文章为理解并有效应对并购中的复杂挑战提供了深刻见解,从多个角度探讨了并购风险的核心要点。
In the global business field,enterprise merger and acquisition has become the mainstream strategic choice,which helps companies expand their business and improve their competitiveness.But mergers and acquisitions come with a host of risks and uncertainties.Therefore,a thorough understanding of the nature,types and management strategies of M&A risks is essential to ensure the success of M&A activities.This paper focuses on the study of risk management in enterprise mergers and acquisitions.Firstly,the scope of M&A risk is discussed,incl uding potential problems in finance,law,market and so on.The n it shows how to identify specific risks,and provides effective risk management and coping strategies through case analysis.It also emphasizes the importance of continuous risk monitoring in the post-merger integration process.This paper provides a profound insight for understanding and effectively dealing with the complex challenges in M&A,and discusses the core points of M&A risk from multiple per spectives.
作者
肖慧芳
XIAO Huifang(Guangdong Peizheng College,Guangzhou 510800,China)
出处
《商业观察》
2024年第4期97-100,共4页
BUSINESS OBSERVATION
关键词
企业并购
风险管理
核心要点
应对策略
enterprise mergers and acquisitions
r isk management
core points
coping str ategies