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Financial Risk Assessment on China Real Estate Listed Companies

机译:中国房地产上市公司财务风险评估

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摘要

Real estate listed companies of Shanghai and Shenzhen Stock Exchange in China are main study objects. Related financial indices were selected from four aspects: solvency, profitability, operation ability and development ability. Factor analysis method was used to analyze the financial risk of real estate industry and financial warning was put forward. A scientific and feasible method was described for real estate listed companies' risk management.
机译:主要研究对象是中国上海和深圳证券交易所的房地产上市公司。从偿付能力,盈利能力,经营能力和发展能力四个方面选择了相关的财务指标。运用因子分析法对房地产业的财务风险进行了分析,并提出了财务预警。提出了一种科学可行的房地产上市公司风险管理方法。

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