Abstract

As a relatively new research field, the current literature research on supply chain financial risk management mostly focuses on the concept and qualitative description of value. In the aspect of theoretical research, a theory system on supply chain financial risk comprehensive management has not been formed. In the aspect of practical application, scientific quantitative measure model tools and effective risk management techniques and methods are scanty. Because of this, based on the era and realistic background of current supply chain finance development, according to the inherent requirement and the research logic of comprehensive risk management, this paper systematically and deeply studies supply chain financial risk management, and builds a theoretical model framework of supply chain financial risk management, which can provide theoretical guidance. We find a quantitative risk monitoring model, which is suitable for supply chain financial risk measure requirements. It introduces a kind of new idea and new method of modern risk management which conforms to financial risk prevention and control reality of supply chain.

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