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国有资产经营管理过程中财务风险问题的管理缺位经常导致后期资本损失和人力资源损耗,目前我国应对国有资产经营管理中的财务投资风险的措施暂时还只停留在表面,而不能有效解决。目前我国经济迈向转型期,大多数国有资产的运作不能象以前一样不考虑风险只考虑回报,应该借鉴国外资本运作的系统性方法降低风险提高回报率,本文就如何加强国有资产经营中的投资风险操控,提升投资回报率,降低风险作如下探讨。
The absence of management of financial risks in the course of the management of state-owned assets often leads to late-stage capital loss and human resource depletion. At present, China’s measures to deal with the risks of financial investment in the management of state-owned assets temporarily remain on the surface for the time being and can not be effectively solved. At present, China’s economy is moving towards a transitional period. Most state-owned assets can not operate in the same way as before. Instead, they consider rewards only when they consider risks. They should learn from the systematic methods of foreign capital operation to reduce the risk and raise the rate of return. This article is about how to strengthen the investment in state-owned assets management Risk control, improve the return on investment, reduce the risk for the following discussion.