论文部分内容阅读
跨国公司财务风险管理是跨国公司在国际经营环境中,通过一系列管理手段和措施来保护自己的资产和保证盈利能力,减少和避免意外事故造成损失的管理工作。跨国公司面对外汇风险的管理策略除了通过使用衍生性金融商品,也可采用经营避险策略,财务与经营避险策略之间可能为互补或替代关系,重要的是要研究哪一个避险策略能有效降低风险和提高股东价值。本文将以一全资外资企业为例,针对本土化背景下跨国公司财务构造和财务风险管理进行研究。
Multinational financial risk management is the management of multinational corporations in the international business environment, through a series of management tools and measures to protect their assets and ensure profitability, reduce and avoid accidents caused by loss of management. Multinational corporations face foreign exchange risk management strategies In addition to the use of derivative financial products can also be used to operate hedging strategies, financial and operational risk avoidance strategies may be complementary or alternative relationship, it is important to study which one hedging strategy Can effectively reduce the risk and enhance shareholder value. This paper will take a wholly-owned foreign-funded enterprise as an example to study the financial structure and financial risk management of multinationals under the background of localization.