Lenovo risk management analysis
Автор: Tsintsin L.
Журнал: Экономика и социум @ekonomika-socium
Рубрика: Основной раздел
Статья в выпуске: 6-1 (97), 2022 года.
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Based on Lenovo's audit report and related materials, this paper uses the SWOT analysis method to forecast and analyze Lenovo Group's financial risks from both macro and micro aspects, and uses Porter's Five Forces Model to analyze all parties inside and outside Lenovo in terms of development., In order to solve the problem of Lenovo's continuous decline in sales in recent years, and how to stand out from competitors in the same industry. Finally, it is concluded that if Lenovo Group wants to become a leader in the industry and further expand its market share in the current environment, it needs to introduce high-tech technical talents and enhance its core innovation capabilities on the one hand, and do on the other hand, full use of the domestic political environment and advantages of large enterprises. It is believed that Lenovo will be able to seize the opportunities and turn risks into profits in a diversified environment where opportunities and crises coexist, and become a leader in the PC industry in the future.
Lenovo, electronic information industry, value at risk, monte carlo simulation, risk avoidance, swot analysis method, macro- and microeconomics, innovations, risk management
Короткий адрес: https://sciup.org/140300369
IDR: 140300369