摘要
简述了上市公司投资风险主要是系统风险和非系统风险两类。分析了要减少投资风险,首先需要企业认清财务报表的伪装程度;其次需要从风险分散、联合投资、实地调研和科学管理角度等方面来提高风险投资的收益。
The paper thinks that the invest risk for joint -stock company are mainly s ystematic risk and unsystematic risk.For reducing the invest risk,f irstly we should have the ability to d istinguish the pretence financial r eport forms,secondly we should act in some following aspec ts as risk decentralization,joint -venture,researching and scientifi c management.〔
出处
《机械管理开发》
2003年第3期123-124,共2页
Mechanical Management and Development