An Empirical Study of Financial Risk Management Based on Administrative Institutions

被引:0
|
作者
Qin, H. [1 ]
机构
[1] Hainan Vocat Coll Polit Sci & Law, Dept Forens Technol, Hainan, Peoples R China
关键词
financial risk; risk identification; risk analysis; risk assessment;
D O I
暂无
中图分类号
TP39 [计算机的应用];
学科分类号
081203 ; 0835 ;
摘要
To study to the administrative institutions of financial risks, questionnaires are used to analyze, evaluate and identify the risk of imposing Maritime Bureau, treasury, budgeting and other six businesses and to detect the presence of potential risks. Studies have shown that the levy risk is higher than high-risk areas, expenditures, approval and reimbursement risk is in warning area, treasury and budget crisis risks in light district.
引用
收藏
页码:287 / 293
页数:7
相关论文
共 50 条
  • [41] Loan Portfolio and Sustainability in Financial Institutions: An Empirical Study of Indian MFIs
    Chhatoi, Biswajit Prasad
    Nanda, Ch Sudipta Kishore
    Sen, Satya Priya
    Sahoo, Sharada Prasad
    PACIFIC BUSINESS REVIEW INTERNATIONAL, 2021, 13 (09): : 57 - 67
  • [42] Evaluating the corporate social performance of Islamic financial institutions: an empirical study
    Sairally, Beebee Salma
    INTERNATIONAL JOURNAL OF ISLAMIC AND MIDDLE EASTERN FINANCE AND MANAGEMENT, 2013, 6 (03) : 238 - +
  • [43] Commercialisation of new technologies in India: An empirical study of the perspectives of financial institutions
    Kumar, Vimal
    Jain, P.K.
    International Journal of Services, Technology and Management, 2003, 4 (02) : 103 - 130
  • [44] Research on University Financial Management Based on the OECD Administrative Model
    Zhang Youtang
    Hu Fan
    PROCEEDINGS OF THE 5TH INTERNATIONAL CONFERENCE ON PRODUCT INNOVATION MANAGEMENT, VOLS I AND II, 2010, : 909 - 912
  • [45] Research on the Risk of Fraud in Financial Institutions Based on CBR: The Case Study from China
    Zhang Chen
    Liu Wen
    Wu Yong
    NEW PERSPECTIVES ON RISK ANALYSIS AND CRISIS RESPONSE, 2009, : 192 - 198
  • [46] MANAGEMENT ACCOUNTING FOR FINANCIAL INSTITUTIONS
    PROTHERO, RE
    MANAGEMENT CONTROLS, 1967, 14 (11): : 263 - 267
  • [48] The empirical study of electricity market's financial risk assessment based on CVaR
    Li, Jiang
    ENERGY AND POWER TECHNOLOGY, PTS 1 AND 2, 2013, 805-806 : 1103 - 1106
  • [49] Spillovers in risk of financial institutions
    Cotter, John
    Suurlaht, Anita
    EUROPEAN JOURNAL OF FINANCE, 2019, 25 (17): : 1765 - 1792
  • [50] Risk profiles of financial institutions
    Tieman, Alexander
    De Nicolo, Gianni
    Corker, Robert
    INTEGRATING EUROPE'S FINANCIAL MARKETS, 2007, : 123 - 141