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近几年,我国国民经济得到快速发展,一方面为上市公司带来更多机遇,上市公司数量不断增多,证券市场规模逐年扩大;另一方面,随着全球经济一体化进程的加快和经济市场程度的不断提高,上市公司在发展中面临越来越多的风险。其中,财务风险是一种客观存在的经济风险,企业可以通过对财务风险进行管理与控制,以达到风险最小化、财务成果最大化和财务状况最优化的效果。我国上市公司作为经济发展的先锋、现代企业制度的代表,更应该重视企业财务风险管理。本文将从我国上市公司财务风险现状着手,分析上市公司财务风险的成因,并对如何加强上市公司财务风险管理提出一些合理化建议。
In recent years, the rapid development of our national economy has brought more opportunities for listed companies on the one hand, and the number of listed companies has been on the increase. The size of the stock market has been expanding year by year. On the other hand, with the acceleration of the global economic integration and the economic market The continuous improvement of listed companies faces more and more risks in their development. Among them, the financial risk is an objective economic risk, and the enterprise can manage and control the financial risk so as to achieve the effect of minimizing the risk, maximizing the financial result and optimizing the financial status. As the vanguard of economic development, the representative of modern enterprise system should pay more attention to the financial risk management of enterprises. This article will start with the status quo of financial risk of listed companies in our country, analyze the causes of listed companies’ financial risk, and put forward some reasonable suggestions on how to strengthen the financial risk management of listed companies.