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The Fuzzy Comprehensive Evaluation Model of Enterprise Financial Risk

机译:企业财务风险的模糊综合评价模型

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摘要

Enterprises face many outstanding issues in the financial risk evaluation. In this paper the fuzzy the comprehensive evaluation model of enterprise financial risk is established to deal with the problems. After careful consideration of the actual situation the different industries have different characteristics of the financial indicators, the regression correlation coefficient of the indicators value in last 3 years is used to determine weight; different operators are used for different index systems to make the calculation results in line with the actual situation; the relatively objective method is used to determine the membership function. A set of objective and feasible methods could be provided to enterprise's financial risk assessment.
机译:企业在财务风险评估中面临许多悬而未决的问题。本文建立了模糊的企业财务风险综合评价模型来解决这些问题。在认真考虑实际情况后,不同行业的财务指标具有不同的特征,采用近三年指标值的回归相关系数确定权重;不同的指标体系使用不同的运算符,使计算结果符合实际情况;相对客观的方法用于确定隶属度函数。可以为企业财务风险评估提供一套客观可行的方法。

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