Convertible Bond Financing Framework for Risk and Early Warning System
By comparing the domestic and international risk management and early warning of information and development status, as well as the analysis of related research on convertible bonds, using qualitative and quantitative analysis methods, it clarifies the two major categories of risk of the convertible bond financing, that is periodic risks and sustainability risks. By seeking the motivations of risk, it has built early-warning system framework for the risks of a convertible bond financing, to guide enterprises to understand, prevent and control risks using the convertible bond financing in the areas of the issuance, conversion, redemption, repurchase, payment of principal and interest and so on, so as to do the bedding for the theoretical support and practical guidance on promoting Chinas rapid development of the convertible bond market.
convertible bonds financing risks early warning
SUN Kexin DI Mengyan
Management School, Wuhan University of Technology, P.R.China, 430070 Accounting Institute, Hebei Uni Accounting Institute, Hebei University of Economics and Business, P.R.China, 050091
国际会议
海口
英文
216-220
2010-11-26(万方平台首次上网日期,不代表论文的发表时间)