Financial Holding Companys Strategies on Risk Control and Company Governance
Based upon a theoretical analysis of the financial holding companys governance and the risk control, this paper discusses the duality and causes of the risk in financial holding company, analyses the present situation and the existing problems of the risk control and companys governance in Chinese finance holding company, and proposes a series of countermeasures on how to control risk and govern companies for the supervising bodies and the financial circles to promote core competence of Chinese banking industry.
financial holding company risk control governance core competence
Wenqin Li
School of Management,South-central University for Nationalities,P.R.China,430074
国际会议
2006 International Conference on Management Science and Engineering(2006管理科学与工程国际学术研讨会)
武汉
英文
733-736
2006-11-08(万方平台首次上网日期,不代表论文的发表时间)