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2008年由美国次贷危机引发的全球金融危机对全球经济产生了破坏性的影响。2011年欧洲债务危机又拉响了发达经济体债务风险的“警报”。面对国际上日渐突出的金融风险、行业风险以及企业破产风险,处在转型发展关键时期的中国外贸企业,如何把握世情、国情、商情,如何提高风险管理防范意识,如何提升风险管理的能力,已成为外贸企业发展的关键。
The global financial crisis triggered by the U.S. subprime mortgage crisis in 2008 had a devastating impact on the global economy. The debt crisis in Europe in 2011 sounded the “alert” of the debt risk in advanced economies. Faced with the increasingly prominent financial risks, industrial risks and bankruptcy risks in the international arena, how can China’s foreign trade enterprises in the critical period of transformation and development grasp the situation of the world, their national conditions and business conditions, how to heighten their awareness of risk management and how to enhance their risk management capabilities, Has become the key to the development of foreign trade enterprises.