首页 | 本学科首页   官方微博 | 高级检索  
     检索      

煤炭行业投资组合风险管理
引用本文:陈旭城.煤炭行业投资组合风险管理[J].科技创业月刊,2010,23(4):39-41,44.
作者姓名:陈旭城
作者单位:山西大同大学商学院,山西,大同,037009
摘    要:我国的煤炭行业在过去的50多年来,经历了多次起伏变迁,如今在市场经济的作用下,呈现出投资加大、扩张加速的发展趋势。针对我国煤炭行业的历史及现状进行分析,对煤炭行业的投资风险进行剖析,利用风险投资相关知识对煤炭行业进行适度的测定、分析提出相应的建议,为未来煤炭资源整合、规避投资风险以及煤炭行业科学管理开辟新的思路。

关 键 词:煤炭  投资  风险管理  

Management for Risk of Investment Portfolio in the Coal Industry
Abstract:After several decades of development, China's coal industry has experienced many ups and downs of changes in past 50 years. Now coal industry has further demand on investment and management under market economy. In this paper , author analyzed investment risk, evaluated and analyzed coal industry with venture capital nowledge and then gave advice on account of the history and current situation of our coal industry. It opened up new ideas for future coal resource integration , investment risk avoiding and sc...
Keywords:coal industry  investment  risk management  
本文献已被 CNKI 维普 万方数据 等数据库收录!
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号