绿地控股财务风险及应对策略研究
DOI:
https://doi.org/10.6938/w1rrxp44Abstract
房地产行业作为国民经济体系中的关键组成部分,其财务风险控制具有重要意义。企业需要重视财务风险的分析,并采取有效的防范措施以应对潜在问题。本文首先围绕盈利能力、偿债能力、营运能力和发展能力这四个维度,对绿地控股集团近年来的财务风险进行了纵向与横向的识别与评估。接着,基于财务风险分析的结果,归纳总结了绿地控股集团当前面临的主要财务风险成因。最后,针对降低财务风险的目标,为绿地控股集团提出了具体的应对方案。文章的研究结果希望能为绿地控股在财务风险问题上提供帮助,提升企业竞争力,实现企业价值,同时可以为其他房地产企业提供一定的借鉴价值。
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