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The Strategy and Influence Analysis of China's Financial Opening to the Outside World to Achieve Balance of Entry and Exit
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作者 Yixuan Chen 《Proceedings of Business and Economic Studies》 2025年第2期305-312,共8页
With the continuous growth of China's economy,financial opening to the outside world has become one of the important means to promote economic development.However,with the continuous acceleration of capital flow,t... With the continuous growth of China's economy,financial opening to the outside world has become one of the important means to promote economic development.However,with the continuous acceleration of capital flow,the problem of balance in and out is becoming increasingly prominent.Taking China's financial opening to the outside world as the research object,this paper discusses how China strategically achieves the balance of entry and exit in the field of financial opening to the outside world,and the impact of this balance.Through the quantitative analysis of China's financial opening to the outside world and foreign capital flows,it is found that China needs to strengthen the management of capital items and optimize the structure of capital flows in the process of financial opening to the outside world,to achieve the balance of financial flows in and out.As for the impact of the balance of access and access,the analysis of the impact mechanism shows that the financial opening and access and balance can improve the stability of the financial market,provide sufficient liquidity for the healthy development of the financial market,and alleviate financial risks.Such a strategy is of great practical significance for promoting the sustained and healthy development of China's economy.Therefore,based on the actual situation of China,this paper puts forward some relevant strategy suggestions to guide the practical operation of China's financial opening up. 展开更多
关键词 financial opening up Balance in and out Capital flows financial market stability strategy suggestion
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Perspective on Mergers and Acquisitions:Exploring Financial Management Issues and Forward-looking Management Strategies
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作者 Yueran Zhang 《Proceedings of Business and Economic Studies》 2025年第2期23-29,共7页
This article focuses on financial management issues in mergers and acquisitions(M&A).It provides an indepth analysis of the financial risks and management challenges faced by contemporary businesses during various... This article focuses on financial management issues in mergers and acquisitions(M&A).It provides an indepth analysis of the financial risks and management challenges faced by contemporary businesses during various stages of M&A,such as pre-merger valuation pricing difficulties,unreasonable financing structures,risks in payment method selection,obstacles to financial integration,and lack of risk management.Targeted management strategies are proposed to address these issues.This paper suggests strengthening due diligence and valuation management,optimizing financing structures,rationally selecting payment methods,deepening financial integration,and improving tax planning.These strategies aim to enhance the level of financial management in M&A,promote economic synergies and management effects,help companies quickly achieve M&A goals,and drive sustainable business development. 展开更多
关键词 Mergers and acquisitions financial management Management strategies financial risks SYNERGIES
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Financial Strategy during Power System Restructuring
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作者 吴志勇 《Electricity》 2001年第2期9-10,共2页
Aiming at the problems of power structure irrationality, lagging of power network behind power source development and high proportion of overdone and small sized units existing currently in power system in China, fina... Aiming at the problems of power structure irrationality, lagging of power network behind power source development and high proportion of overdone and small sized units existing currently in power system in China, financial and running strategies are set forth corresponding to power system restructuring. 展开更多
关键词 financial strategy power system restructuring
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Entrepreneurial, institutional and financialstrategies for FinTech profitability 被引量:2
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作者 Santiago Carbó-Valverde Pedro JCuadros-Solas Francisco Rodríguez-Fernández 《Financial Innovation》 2022年第1期487-522,共36页
Notwithstanding the emergence of FinTech startups in the financial services industry,most of these companies face significant difficulties in breaking even and surviving.This study examines the main managerial, instit... Notwithstanding the emergence of FinTech startups in the financial services industry,most of these companies face significant difficulties in breaking even and surviving.This study examines the main managerial, institutional, and financial drivers of FinTechprofitability and the time it takes for these firms to break even. The database includesrelevant qualitative factors, such as foundational characteristics, the technologicalprofile of the startup, and its funding structure. Using the full population of FinTechstartups operating in Spain from 2005 to 2017, we observe that most of these firms areunprofitable within three years of their inception. Combining panel data and survivalanalyses, we empirically find that large and solvent FinTech firms founded by singleentrepreneurs in an incubator or accelerator program are more likely to be profitableand prevail. FinTech firms reach their break-even points faster if they receive fundingthrough seed capital. 展开更多
关键词 FinTech PROFITABILITY ENTREPRENEURSHIP Technology financial strategies Startups
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Performance evaluation of series and parallel strategies for financial time series forecasting 被引量:3
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作者 Mehdi Khashei Zahra Hajirahimi 《Financial Innovation》 2017年第1期357-380,共24页
Background:Improving financial time series forecasting is one of the most challenging and vital issues facing numerous financial analysts and decision makers.Given its direct impact on related decisions,various attemp... Background:Improving financial time series forecasting is one of the most challenging and vital issues facing numerous financial analysts and decision makers.Given its direct impact on related decisions,various attempts have been made to achieve more accurate and reliable forecasting results,of which the combining of individual models remains a widely applied approach.In general,individual models are combined under two main strategies:series and parallel.While it has been proven that these strategies can improve overall forecasting accuracy,the literature on time series forecasting remains vague on the choice of an appropriate strategy to generate a more accurate hybrid model.Methods:Therefore,this study’s key aim is to evaluate the performance of series and parallel strategies to determine a more accurate one.Results:Accordingly,the predictive capabilities of five hybrid models are constructed on the basis of series and parallel strategies compared with each other and with their base models to forecast stock price.To do so,autoregressive integrated moving average(ARIMA)and multilayer perceptrons(MLPs)are used to construct two series hybrid models,ARIMA-MLP and MLP-ARIMA,and three parallel hybrid models,simple average,linear regression,and genetic algorithm models.Conclusion:The empirical forecasting results for two benchmark datasets,that is,the closing of the Shenzhen Integrated Index(SZII)and that of Standard and Poor’s 500(S&P 500),indicate that although all hybrid models perform better than at least one of their individual components,the series combination strategy produces more accurate hybrid models for financial time series forecasting. 展开更多
关键词 Series and parallel combination strategies Multilayer perceptrons Autoregressive integrated moving average financial time series forecasting Stock markets
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Research on Financial Support for the New Types of Agricultural Management Entities from the Perspective of the Rural Revitalization Strategy 被引量:1
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作者 Wang Rui Zhou Yingheng Huang Deyuan(翻译) 《Contemporary Social Sciences》 2020年第6期23-41,共19页
Both the escape from the predicament of traditional financial support in rural areas and the cultivation of new types of agricultural management entities underlie,at a micro level,the improvement of a new-type of agri... Both the escape from the predicament of traditional financial support in rural areas and the cultivation of new types of agricultural management entities underlie,at a micro level,the improvement of a new-type of agricultural management system,and offer an important guarantee for the implementation of a rural revitalization strategy.In reference to the demands of carrying out reform,activating factors,invigorating entities and stimulating markets during the implementation of this rural revitalization strategy,we are applying a financing preference theory that infers and analyzes the excessive preference for new-type agricultural management entities(family farms,specialized farmer cooperatives,specialized large family farms,and modern agricultural enterprises)regarding government subsidies(quasi-equity financing).Our analysis has identified crucial factors in the issue and predicts that government subsidies(quasi-equity financing)will crowd out financial support funding(quasi-debt financing),and we offer empirical proof obtained through statistical modeling.As our results indicate,financing costs,free cash flows,and the perceived income adequacy(PIA)of new-type agricultural management entities all have significant influence upon decision-making for debt financing by such entities.Therefore,with the concrete contents of the formulation of policies concerning the financial support for rural agricultural strategy,one not only needs to consider the further decrease of financing costs,but also should take into account both the designing of cash flow mechanism in the process of paying both principal and interest,and the improvement of bankruptcy rules for agricultural management entities to accelerate the transformation of family farms,specialized farmer cooperatives,and specialized large family farms,towards modern agricultural enterprises.Meanwhile,upgrades to the supply chains of the agriculture industry,improvements to the construction of the rural financial information system,building an accounting system that meets the requirements of the rural revitalization strategy,and giving full play to the policies for financial support,which assume an important role in activating factors and markets during the implementation of the rural revitalization strategy,are also anticipated. 展开更多
关键词 rural revitalization strategy new-type agricultural management entities financing costs financial support
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Plight and Countermeasures of Petty Credit Loan in Rural Financial Institutions in the Context of Rural Revitalization Strategy
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作者 Xiaofang ZOU 《Asian Agricultural Research》 2020年第7期12-14,21,共4页
The implementation of China's rural revitalization strategy will surely release a huge financial demand in rural areas.How to use the petty credit loan in rural financial institutions to develop rural economy is a... The implementation of China's rural revitalization strategy will surely release a huge financial demand in rural areas.How to use the petty credit loan in rural financial institutions to develop rural economy is an effective way to implement the rural revitalization strategy.This paper first analyzes the significance of petty credit loan in rural financial institutions for rural revitalization strategy,then introduces the remarkable contribution of petty credit loan in China's rural financial institutions to actively solving the problems of farmers about difficult financing and expensive financing and elaborates on the main problems of petty credit loan business in rural financial institutions that still exist in the process of supporting rural revitalization,and finally gives several suggestions on solving the problems about the financing of farmers and the development of petty credit loan business in rural financial institutions. 展开更多
关键词 Rural revitalization strategy Rural financial institutions Petty credit loan financial support
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The Impact of Foreign Bank Strategies on the Behavior and Performance of Czech and Slovak Banks in the Financial Crisis
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作者 JosefTauser Martin Sroka Pavel Zambersky 《Journal of Modern Accounting and Auditing》 2013年第7期988-996,共9页
In this paper, the authors analyze the impact of the specific ownership structure of the banking sector in Czech and Slovakia on the performance and applied strategies of particular banks during times of crisis. Did t... In this paper, the authors analyze the impact of the specific ownership structure of the banking sector in Czech and Slovakia on the performance and applied strategies of particular banks during times of crisis. Did the multinational banks pursue a coherent regional strategy to cope with the risks resulting from the crisis, or did they focus on finding local solutions? The aim of this paper is to find answers to these questions. A case study is going to be used as a basic research method. Two members (Slovak and Czech) of four multinational banking groups are examined in the crisis year 2009, whereby both a qualitative analysis of the annual reports regarding strategic business or risk management decisions and a comparative quantitative analysis of selected financial data and risk indicators are employed. The authors have found that Czech and Slovak banks generally tried to follow the main strategic directions given by their parent banks during the financial crisis. However, particular financial results and risk profiles of respective subsidiaries of multinational banks still differ because of market factors specific to the different countries in which the subsidiaries are located. 展开更多
关键词 banks' strategies banks' performance multinational banks financial crisis
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Enterprise Financial Risk and Response Strategies
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作者 Li Yan 《International Journal of Technology Management》 2016年第5期72-74,共3页
Nowadays, a shortage of funds has evolved into general business issues because raise the necessary funds is the necessary requirement to develop and expand the companies’ scale. The funding would have to face all kin... Nowadays, a shortage of funds has evolved into general business issues because raise the necessary funds is the necessary requirement to develop and expand the companies’ scale. The funding would have to face all kinds of risks associated. Although funding risk cannot be completely eliminated, but the company can be based on their own development needs, and actively respond to risk fi nancing based on their own conditions. In this paper, the business fi nancing risk coping strategies is presented based on analysis of the reasons of business fi nancing risk. 展开更多
关键词 financiNG financial Risk CAUSE Analysis RESPONSE STRATEGIES
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Analysis on the Strategies of Enterprises to Implement Financial Management
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作者 Haohao LI Nan ZHOU 《International Journal of Technology Management》 2013年第5期81-83,共3页
Along with the continuous development of China's reform and opening-up to the outside world, the market mechanism is constantly improved and developed. In the fiercely competitive market environment, the market risk ... Along with the continuous development of China's reform and opening-up to the outside world, the market mechanism is constantly improved and developed. In the fiercely competitive market environment, the market risk can be avoided with enterprise financial management. In this paper, the problems in the current situation of enterprise financial management are introduced, and also improvement measures are proposed according to the problems. 展开更多
关键词 financial Management Current Situation STRATEGIES
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On the Financial Management Strategy under the Background of Corporate Sustainable Development
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作者 Xiaoqing SUN 《International Journal of Technology Management》 2015年第3期32-34,共3页
Sustainable development is the basis of survival. The SMEs as an important part of our national economy, plays the role of increasing national income, expanding employment, stabilizing social situation. Under the new ... Sustainable development is the basis of survival. The SMEs as an important part of our national economy, plays the role of increasing national income, expanding employment, stabilizing social situation. Under the new situation, it needs to change the status quo of financial management, financial management to achieve sustainable development of SMEs. This paper is combined with the financial management of the significance of sustainable development as well as financial management problems in the SME financial management strategy. 展开更多
关键词 norder to MS Word SMEs Sustainable Development financial Management strategy
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Optimization of the Financial Strategy of Bilibili Barrage Website from the Perspective of Social Responsibility
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作者 Yifei Zhao Yicheng Zhao 《Journal of Finance Research》 2020年第2期45-50,共6页
This paper studies the modern corporate financial strategy from the perspective of corporate social responsibility performance,using the Internet video site Bilibili as an example to analyze,starting with Bilibili’s ... This paper studies the modern corporate financial strategy from the perspective of corporate social responsibility performance,using the Internet video site Bilibili as an example to analyze,starting with Bilibili’s strategic environment,based on financing,investment,distribution,and social responsibility.This paper comprehensively analyzes its advantages and disadvantages from its financial strategy.Finally,from the perspective of social responsibility,from three aspects of investment,financing,and profit distribution,the authors made optimization suggestions for Bilibili’s financial strategy. 展开更多
关键词 financial strategy Corporate social responsibility Internet companies Video website
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The Risk Identification and Corresponding Strategy of Transnational Financial Accounting Outsourcing
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作者 Meng WU Lei YANG 《International Journal of Technology Management》 2015年第6期36-38,共3页
Financial Accounting outsourcing in recent years has been the development of new outsourcing model with more and more enterprises management and CFOs of all ages. With the development of financial accounting outsourci... Financial Accounting outsourcing in recent years has been the development of new outsourcing model with more and more enterprises management and CFOs of all ages. With the development of financial accounting outsourcing services, it will lead to economic, social and development prospects that are also widely recognized. Not only small and medium companies are keen to own non-core financial accounting processes outsourced to agencies, large group has the entire basis of accounting processes tend to be outsourced to a qualified and experienced outsourcing service. Group companies or large multinationals are gradually re-integration of the financial sector, the basic financial accounting processes separate from the daily work out for outsourcing to focus resources on the development of core competencies. 展开更多
关键词 International financial Accounting Risk Identification Corresponding strategy
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Research on the Reasonable Strategy of the Development of Commercial Banks under the Perspective of P2P Internet Financial Risks
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作者 LI Liqin 《International Journal of Technology Management》 2015年第9期40-42,共3页
In this paper, we conduct research on the reasonable strategy of the development of commercial banks under the perspective of P2P Internet financial risks. P2P financial model mainly for China' s small and medium ent... In this paper, we conduct research on the reasonable strategy of the development of commercial banks under the perspective of P2P Internet financial risks. P2P financial model mainly for China' s small and medium enterprises and individuals to provides financing services. Generally need to use e-commerce professional network platform lending to help both sides to establish lending relationship and complete the related formalities. Traditional commercial banks need reform to keep up with the novel financial tools related to the Internet financing which will be discussed below. 展开更多
关键词 Reasonable strategy Commercial Banks P2P Internet financial Risk Measurement.
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The Development Strategy of China Bao'an Group──From Investment Control Group to Bao'an Financial Group
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《China Today》 1997年第8期59-61,共3页
关键词 US The Development strategy of China Bao’an Group GROUP From Investment Control Group to Bao’an financial
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Exploration on Financial Strategy Management of Enterprise Financial Management Environment
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作者 DONG Hua 《外文科技期刊数据库(文摘版)经济管理》 2021年第2期189-193,共5页
While the economy continues to develop, enterprises must constantly change their asset management methods to adapt to the new development situation. Financial strategic management is a new leadership concept for the s... While the economy continues to develop, enterprises must constantly change their asset management methods to adapt to the new development situation. Financial strategic management is a new leadership concept for the sustainable development of enterprises. Corporate finance is the core part of the financial management environment. Only by establishing a correct financial strategic planning system can it be effectively realized. In order to formulate a reasonable financial strategic plan, it is necessary to ensure that the enterprise has an accurate understanding of the concept of financial strategic management, and to ensure that the prevention strategy is scientific and reasonable. In the specific implementation process, problems must be solved and solved in a timely manner. Enterprises should establish a sound financial management system and continuously recruit better financial management personnel to ensure the smooth implementation of financial strategic management. This article will discuss the financial strategic management under the enterprise financial management environment. 展开更多
关键词 financial management environment financial strategy MANAGEMENT
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Research on Enterprise Financial Strategy Management
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作者 ZHAORuili 《外文科技期刊数据库(文摘版)经济管理》 2022年第6期147-150,共4页
Finance plays an important role in enterprises. The development of a company cannot be separated from financial support. How to improve the level of corporate financial strategic management is very important in corpor... Finance plays an important role in enterprises. The development of a company cannot be separated from financial support. How to improve the level of corporate financial strategic management is very important in corporate strategic management. As an effective tool for enterprises to realize value maximization, financial strategic management of enterprises has been implemented by more and more enterprises to optimize various financial activities of enterprises through financial strategic management mechanism. However, some enterprises do not understand the specific content of financial strategies when formulating financial strategic systems. Therefore, this paper analyzes the common problems in financial strategy, discusses the thinking of enterprise financial strategy management and the implementation countermeasures of enterprise financial strategy, hoping to improve the level of enterprise financial strategy management through this study. 展开更多
关键词 ENTERPRISE financial strategies COUNTERMEASURE
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Optimization Strategy of Group Companies' Financial Management of Subsidiary Companies
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作者 LUGang ZHAODayong 《外文科技期刊数据库(文摘版)经济管理》 2022年第4期146-149,共4页
After entering the new normal of economy, although the economy is in a state of continuous development, with the deepening of the reform of the market economy system, the whole market environment has become more and m... After entering the new normal of economy, although the economy is in a state of continuous development, with the deepening of the reform of the market economy system, the whole market environment has become more and more severe, and many companies are submerged in the wave of market economy due to poor management. Under such a background, the group companies are also facing increasing pressure on business development. In order to ensure the stability and sustainability of development and improve the profit level, it is necessary to do a good job in scientific control and effective intervention on the financial management activities of subsidiaries, so as to reduce financial risks, achieve profit targets and achieve good synergies. The financial management of a group company to a subsidiary company should proceed from the actual situation, objectively analyze the actual problems existing in the current financial management, and then determine the corresponding financial control measures, so as to enhance the overall competitiveness of the group company, strengthen its overall strength and adapt to the increasingly complex development environment. 展开更多
关键词 group companies subsidiaries financial management optimization strategy
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Financial Management Strategy under Centralized Accounting of State-owned Enterprises
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作者 ZHUYuanhua 《外文科技期刊数据库(文摘版)经济管理》 2022年第8期047-050,共4页
The fierce competition in the market brings many challenges to the development of enterprises, and also brings development opportunities. In the market development of state-owned enterprises, facing the rapid developm... The fierce competition in the market brings many challenges to the development of enterprises, and also brings development opportunities. In the market development of state-owned enterprises, facing the rapid development of social economy and the international cooperation and exchange of global economy, the experience development challenges of state-owned enterprises are upgraded. In financial management, the management system of centralized accounting will affect the quality and efficiency of financial management and the stable economic development of state-owned enterprises. Therefore, this paper studies the financial management strategy in centralized accounting, so that it can have more available accounting resources in the development of state-owned enterprises. This paper analyzes the financial management strategy of state-owned enterprises under centralized accounting, hoping to enhance the role of financial management. 展开更多
关键词 centralized accounting state-owned enterprises financial value management strategy
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Innovative Strategies for Financial Investment Management Strategies of Enterprises in the New Era
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作者 Xuanyi Huang 《Proceedings of Business and Economic Studies》 2024年第2期170-177,共8页
With the in-depth development of economic globalization and the continuous emergence of new technologies,the importance of enterprise financial investment management strategy is becoming more and more prominent.The tr... With the in-depth development of economic globalization and the continuous emergence of new technologies,the importance of enterprise financial investment management strategy is becoming more and more prominent.The traditional financial investment management strategy can no longer meet the needs of enterprises in the new era and needs to be innovated with the times.For enterprises,the effectiveness and scientificity of financial investment management strategy will directly affect the competitiveness and long-term development of enterprises.Therefore,this study chooses the innovation based on the financial investment management strategy of enterprises in the new era as the research theme,aiming at exploring the innovative strategy to adapt to the needs of enterprises in the new era. 展开更多
关键词 New era financial investment management Innovative strategy
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