恒大地产财务风险测量与预警分析  

Financial Risk Measurement and Early Warning Analysis of Evergrande Real Estate

作  者:陈珊珊 Shanshan Chen(Accounting,East China Jiaotong University,Jiangxi,Nanchang)

机构地区:[1]华东交通大学,江西省南昌市330000

出  处:《管理科学与研究(中英文版)》2025年第2期1-9,共9页Management Science and Research

摘  要:随着市场经济的持续推进,竞争态势愈发严峻,现代企业在经营管理过程中不可避免地会面临多样化的经营风险,因此构建财务风险监测与预警机制显得尤为关键。鉴于此,本文以恒大地产为例,通过建立评估分析模型,分析恒大地产财务分析的成因以及带来的经济后果,指出企业面对财务风险时的对策。本研究不仅有助于研究恒大地产自身财务风险的管理和控制,也为其他房地产企业在进行财务风险测量和预警时提供了有益的参考和借鉴。With the continuous advancement of market economy,the competition situation is more and more severe,modern enterprises will inevitably face diversified business risks in the process of operation and management,so the construction of financial risk monitoring and early warning mechanism is particularly critical.In view of this,this paper takes Evergrande Real Estate as an example,analyzes the causes of Evergrande Real Estate's financial analysis as well as the economic consequences brought about by the establishment of assessment and analysis model,and points out the countermeasures of the enterprise in the face of financial risk.This study not only helps to study the management and control of Evergrande Real Estate's own financial risk,but also provides useful references and lessons for other real estate enterprises when they carry out financial risk measurement and early warning.

关 键 词:恒大地产 财务风险 评估模型 

分 类 号:F27[经济管理—企业管理]

 

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