摘要
本文选择金巴斯集团这一家世界500强的英国公司为研究对象。在2016年英国宣布退出欧盟的背景下,一系列政策上的变化带来金融市场的波动,本文分析了其2012年至2016年的资本结构和财务风险,并总结了在外汇,税率等方面的变动对跨国企业财务和经营方面造成的影响以及政府和银行采取的应对措施。
in this paper,the author choose Compass Group,the world's top 500 British company as the research object. In the context of the announcement that the British fall out of the EU in 2016,a series of changes in policy brought volatility in the financial market. This paper analyzed Compass Group's capital structure and financial risk from 2012 to 2016;summed up the impact of changes on the financial and operational,such as foreign exchange rate and tax rate and so on,as well as the measures taken by the government and banks.
出处
《经贸实践》
2018年第8X期30-31,共2页
Economic Practice