Huawei financial risk management strategy
Автор: Liu Bo Chen
Журнал: Экономика и социум @ekonomika-socium
Рубрика: Основной раздел
Статья в выпуске: 5-2 (84), 2021 года.
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Since the enterprise is at different stages of the life cycle, if the financial situation of the enterprise is unstable, then this will make the enterprise able to incur losses.Thanks to the implementation of the financial risk management system, enterprises can correctly analyze the causes of each financial risk in combination with their own operating conditions of the enterprise, reduce financial risk, and achieve the goal of maximizing the interests of the enterprise.This article mainly analyzes Huawei's financial risk management issues from four sides, such as liquidity risk, currency risk, interest rate risk and credit risk, as well as strategies to overcome losses caused by financial risk for Huawei.
Financial risk, risk management, resolution strategy
Короткий адрес: https://sciup.org/140259399
IDR: 140259399