FINANCIAL RISK MANAGEMENT IN THE CONTEXT OF NEW CHALLENGES TRIGGERED BY THE CRISIS

被引:0
|
作者
Tudose, Mihaela Brindusa
Clipa, Flavian
Filipeanu, Dumitru
Clipa, Raluca Irina
机构
关键词
indebtedness; financial risk; financial fragility; vulnerability; crisis;
D O I
暂无
中图分类号
TP [自动化技术、计算机技术];
学科分类号
0812 ;
摘要
The purpose of this article is to study the manner in which firms promote a risk management adapted to current economic changes, while shifting from an old challenge (the role of indebtedness in maximizing firm value) to a new one: financial fragility and vulnerability to crises. Our premises were: on the one hand, in the context of major imbalances, an increase in debt financing amplifies risks, causing firms to become more financially fragile; on the other hand, internal financing, being more stable and durable, entails minimal risk levels and improves financial vulnerability to crises. The study also emphasises that the current economic and financial system needs to be financed more prudently, in order to sustain a more stable and durable growth rate. Thus, previous coordinates regarding the optimization of irms' financial structure need to be redefined so as to ensure financial sustainability.
引用
收藏
页码:803 / 806
页数:4
相关论文
共 50 条
  • [31] Bank Earnings Management and Tail Risk during the Financial Crisis
    Cohen, Lee J.
    Cornett, Marcia Millon
    Marcus, Alan J.
    Tehranian, Hassan
    [J]. JOURNAL OF MONEY CREDIT AND BANKING, 2014, 46 (01) : 171 - 197
  • [32] A systemic risk management model for SMEs under financial crisis
    Yiannaki, Simona Mihai
    [J]. INTERNATIONAL JOURNAL OF ORGANIZATIONAL ANALYSIS, 2012, 20 (04) : 406 - +
  • [33] Model Risk and the Great Financial Crisis The Rise of Modern Model Risk Management
    Brown, Jeffrey A.
    McGourty, Brad
    Schuermann, Til
    [J]. NEW INTERNATIONAL FINANCIAL SYSTEM: ANALYZING THE CUMULATIVE IMPACT OF REGULATORY REFORM, 2016, 48 : 339 - 353
  • [34] The role of the State in (and after) the financial crisis: new challenges for administrative law
    Napolitano, Giulio
    [J]. COMPARATIVE ADMINISTRATIVE LAW, 2010, : 569 - 591
  • [35] Comprehensive Management and Financial and Extra-financial Risk Control to Overcome the Business Crisis
    Angeles Fernandez-Izquierdo, Maria
    Jesus Munoz-Torres, Maria
    Ferrero-Ferrero, Idoya
    [J]. EUROPEAN COMPANY LAW, 2014, 11 (02): : 81 - 85
  • [36] Editorial: Urban Crisis Management - New Research Challenges
    Skyllstad, Kjell
    [J]. JOURNAL OF URBAN CULTURE RESEARCH, 2011, 3 : 10 - 13
  • [37] International Financial Crisis: Ruptures and Challenges
    Acuna Ortigoza, Marianela
    [J]. REVISTA DE LA UNIVERSIDAD DEL ZULIA, 2011, 2 (04): : 39 - 58
  • [38] Legal Challenges in the Global Financial Crisis
    Ruffert, Matthias
    [J]. COMMON MARKET LAW REVIEW, 2015, 52 (02): : 599 - 600
  • [39] A new financial crisis?
    Chavagneux, Christian
    [J]. ESPRIT, 2019, (7-8) : 103 - 108
  • [40] Financial Crisis: A New Measure for Risk of Pension Fund Portfolios
    Cadoni, Marinella
    Melis, Roberta
    Trudda, Alessandro
    [J]. PLOS ONE, 2015, 10 (06):