战略风险管理

  • 网络Strategic risk management
战略风险管理战略风险管理
  1. 析我国证券公司的战略风险管理

    Analysis of strategic risk management of China 's securities company

  2. 战略风险管理的理论方法及其发展

    Theories , Methods and Development of Strategic Risk Management

  3. 集团公司战略风险管理的理论探讨

    Research on Strategic Risk Management for Group Companies

  4. 第二、企业战略风险管理理论与方法研究;

    Study on the Strategical Risk Management of Disruptive Technology Innovation second , management theory and means of ESR ;

  5. 其最大特点是动态的、系统的思考高新技术企业战略风险管理,为高新技术企业战略决策提供更加准确,全面的参考。

    The biggest characteristic of the model is dynamic and systematic thinking and observation , and offers more accurate and overall reference for the strategic decision of High-tech enterprises .

  6. 战略风险管理是以控制和弱化企业日常经营活动中的战略风险要素为目标,以战略管理理论和风险管理理论为理论基础,以战略风险控制手段为途径的管理活动。

    Strategic risks management is an activity based on strategy management and risk management theory . It aims to control and management strategic risks factors by utilizing strategic risk management measures .

  7. 全文具体框架如下:本文共分五章对基于理财柔性的财务战略风险管理的有关问题进行探讨。

    The concrete framework of the full text goes as follows : This paper divides into five chapters to explore issues related to financial strategies risk management based on flexibility of financing system .

  8. 第四部分是经济全球化背景下北汽有限公司加强战略风险管理的对策,本部分是本文的核心部分。

    The fourth part is the core part of this paper . A coping strategy for BAW to strengthen its strategic risks management under the trend of economic globalization is discussed in this part .

  9. 企业战略风险管理是企业以财务和竞争优势为出发点,兼容企业战略和风险管理,其目的是使企业在市场中通过寻求风险领先来有效控制风险,从而获取最佳的风险与收益组合。

    Strategic risk management is based on the financial and competitive advantages , including the enterprise strategy and risk management , the purpose is to lower risk , to gain maximum benefit through exploring risk forward .

  10. 之后提出战略风险管理的定义,并借鉴风险管理的框架研究了战略风险管理研究的系统框架。(二)提出了在各种情景下运用层次分析法对战略风险进行评价的方法。

    After the concept of strategic risk management is proposed , and draw on the framework strategy risk management research . ( B ) This paper puts forward the method of strategy risk evaluation in a variety of scenarios by AHP .

  11. 本文对集团公司的战略风险管理进行剖析,提出了风险管理的识别控制管理的模型,并对公司竞争能力和公司主题战略本身的风险因素产生的机理进行了分析。

    Based on analysis of risk management in a group company , The paper describes a model on identifying control for risk management , and also dwells upon the factors that give rise to risks in the competitive capability and theme strategy of a company .

  12. 第四,以DW证券公司为例详细论述全面风险管理在证券公司确定的经营战略和风险管理目标的前提下如何实施和运用,同时对实施的有效性进行了论证和评价。

    Forth , using DW Securities Company as an example , the essay has a detailed discussion of the enterprise risk management system under the premise of how to implement and apply and the evaluation of its associated results .

  13. 企业战略风险预警管理研究

    Research on the Strategic Risk Early-warning Management in the Enterprises

  14. 对战略风险进行管理,精准的战略风险识别与科学的战略风险控制是基础。

    Onthe strategic risk management , precise strategic risk identification is the foundation .

  15. 3企业战略风险的管理研究。

    Management research of ESR .

  16. 企业战略风险预警管理是战略风险管理理论的一种改进或延伸。

    The strategic risk early-warning management in the enterprises is an improvement or extendibility of the strategic risk management .

  17. 他补充道,“战略、风险管理、公司治理和可持续性都是不错的对话主题”。

    He added that " strategy , risk management , corporate governance , and sustainability are good topics for dialogue " .

  18. 战略风险预警管理的具体过程,包括预警分析和预警对策两项内容。

    The concrete process of the strategic risk early-warning management in the enterprises includes two parts named the early-warning analysis and the early-warning countermeasures .

  19. 一提到企业跨国经营的风险,人们首先想到的是产品风险,战略风险,管理风险等等企业的内部风险,试图从企业的组织和管理上采取措施去应对这些风险。

    Referring to the risk of transnational business , people first think of the internal risk , such as product risk , strategic risk , management risk , etc , attempt to take measures to tackle these risks from organization and management of enterprises .

  20. 目前,国外银行业已经建立起了比较完善的银行全面风险管理机制,由风险管理战略、风险管理组织结构、风险的衡量报告和控制、风险管理操作和风险管理信息系统等要素构成。

    At present , foreign banks have already set up relatively perfect mechanism of ERM , which includes risk management strategy , risk administrative system , the measurement , report and control of risk , operation of risk management and information system of risk management .

  21. 企业战略联盟风险及其管理研究

    On Risk and Management of Enterprise Strategic Alliance

  22. 因此本文对构建企业竞争战略的风险预警管理体系具有一定的参考价值。

    Therefore , this article on the risks of competitive strategy to build early-warning management system has a certain reference value .

  23. 这本书将有助于投资者认识全球经济变化中的转型一种将严重影响投资战略效果和风险管理方法有效性的现象。

    This book will help investors navigate the transformation of the changed global Economy-A phenomenon that will seriously impact the potency of investment strategies and influence the effectiveness of risk management approaches .

  24. 积极探索符合我国港口突发事件风险管理的方法及建立起我国港口发展战略需要的风险管理体系,以促进社会、经济稳定、和谐发展。

    Explores positively conforms to our country harbor thunderbolt risk management method and establishes the risk management system which our country harbor developmental strategy needs , promotes the society , the economic stability , the accord development .

  25. 根据ZF企业的战略规划,建立风险管理决策过程的流程后建立风险管理体系,根据ZF公司特点,建立风险管理体系的五要素。

    According to the government enterprise strategic planning , establishing risk management decision-making process to establish risk management system , based on the characteristics of ZF company , establish risk management system of the five elements .

  26. 煤炭企业战略成本与财务风险管理探讨

    Discussion on Strategy Cost and Financial Risk Management in Coal Enterprise

  27. 流程银行的战略认知及操作风险管理研究

    A Research on Strategic Understanding and Operational Risk Management of Process-Oriented Commercial Banks

  28. 具体来说,全文共分为四个部分:第一部分:战略风险与财务战略管理。

    The paper includes four parts , and the main contents are designed as follow : Part one : Strategy Risk and Financial Strategy Management .

  29. 第一章分析了本文的研究背景,评述国内外对理财柔性理论、财务战略理论和战略风险管理理论的文献综述,并分析了本文的研究思路、研究内容、研究方法及本文创新点。

    The first chapter analyses the background of this paper , a commentary on the study of the theory of flexibility of finance system , financial strategy and strategic risk at home and abroad , then analyses research thoughts , content , methodology and innovative points in this paper .

  30. 本文首先从企业战略风险、企业战略风险管理和经济全球化的定义出发,对其概念的内涵进行了界定,然后从理论的角度回顾了国内外学者对企业战略风险构成要素及形成机理的研究。

    This paper starts by examining the definitions and significance of corporate strategic risks and its management , followed by a theory-focused review of existing studies on corporate strategic risks factors and mechanisms by local and foreign researchers .