新发展模式下房产行业财务风险管理研究  被引量:2

Research on Financial Risk Management of the Real Estate Industry Under the New Development Model

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作  者:查梦琪 ZHA Mengqi(School of Economics and Management,Yangtze University,Jingzhou 434020,China)

机构地区:[1]长江大学经济与管理学院,湖北荆州434020

出  处:《商业观察》2024年第18期43-45,51,共4页BUSINESS OBSERVATION

摘  要:房地产行业是我国国民经济的重要支柱,具备其特殊的不可替代性,然而受到经济及政策等各种因素影响,房企发展受阻,导致产生大量负面影响,这与“持续改善民生,不断增进人民福祉”的国家号召相悖。新发展模式要求房地产行业发展主题由“规模”向“质量、服务”转变,这进一步对企业财务风险管理能力提出了更高要求。文章从简要概述财务风险管理的意义开始,再到分析财务风险的类型及产生原因,最后针对产生财务风险的原因给出对应建议及解决措施,以期为房地产企业财务风险管理水平的精进提供思路。The real estate industry is an important pillar of China's national economy,with its special irreplaceable status.But affected by various factors such as economy and policy,the development of real estate enterprises has been hindered,resulting in a great negative impact,which is contrary to the national call of"continuously improving people's livelihood and enhancing people's well-being".The new development model requires the development theme of the real estate industry to change from"scale"to"quality and service",which further puts forward higher requirements for the financial risk management capabilities of enterprises.This paper starts with a brief overview of the significance of financial risk management,then analyzes the types and causes of financial risks,and finally gives corresponding suggestions and solutions for the causes of financial risks,in order to provide ideas for the improvement of financial risk management.

关 键 词:房地产行业 财务管理 新发展模式 风险管控 

分 类 号:F299[经济管理—国民经济]

 

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