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T地产公司公司财务风险问题研究.docxVIP

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PAGE 15 PAGE 1 PAGE 1 PAGE 1 摘 要 2017年我国房地产行业财务安全指数仅为2181.54,在25个行业中得分最低,同时也是房地产行业近5年来最低分,房地产行业整体财务安全状况大幅度下滑,因此,对房地产企业的财务风险进行有效的识别,并采取相应的控制和防范措施降低财务风险,是促进行业发展的关键,也是大多数房地产企业普遍面对并且急需解决的问题。 本文以T房地产为研究对象。首先,组织了金融风险的理论研究成果,明确了金融风险的定义,分析了金融风险的类型和特征,以及房地产金融风险的特征,并讨论了金融风险分析方法。财务风险管理的目的,原则和方法从资金,投资和运营三个角度来看,T结合当前的房地产生产和经营状况来识别公司当前的财务风险,以及房地产的财务风险评估,合理评估风险情况并提出建议。相应的管理措施,以帮助公司。改善财务风险管理职能。同时,它还可以为其他房地产公司提供一些预防和控制金融风险的参考,并为中国房地产行业的投资者提供相关决策的依据。 关键词:T地产公司;财务风险;风险识别 Abstract In 2017, the financial safety index of Chinas real estate industry is only 2181.54, with the lowest score in 25 industries and the lowest score in real estate industry in the past five years. The overall financial security situation of the real estate industry has declined dramatically. Therefore, it is necessary to effectively identify the financial risks of real estate enterprises and take corresponding control and preventive measures to reduce financial risks, so as to promote the development of the industry. The key is also the problem that most real estate enterprises are facing and urgently need to solve. This paper takes Real Estate T as the research object. Firstly, it combs the relevant theoretical research results of financial risk. Then it defines the definition of financial risk, analyses its types and characteristics, and the characteristics of financial risk in real estate industry. It also discusses the methods of financial risk analysis, the objectives, principles and methods of financial risk control. Combining with the current situation of Areal estate production and operation, from three angles of financing, investment and operation, this paper identifies the existing financial risks of A real estate, evaluates the financial risks of A real estate, reasonably evaluates its risk status, and puts forward corresponding control measures, so as to help the company improve its financial risk control ability. At the same time, it can also provide some reference for other real estate en

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