Comprehensive Evaluation of Financial Risk of Listed Companies in the Electronic Information Industry under the Background of “Internet +”
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DOI: 10.25236/sser.2019.033
Author(s)
Jihui Sun and Liang Ma
Corresponding Author
Jihui Sun
Abstract
With the advent of the “Internet +” era, the electronic information industry is closely related to the development of big data, cloud computing, artificial intelligence and block chain. Based on the characteristics of the new era, the evaluation and prevention of financial risks of electronic information enterprises is an important part of the enterprise management under the “Internet +” environment. Based on stakeholder theory, this paper uses three dimensions of shareholders and creditors, consumers and suppliers, employees, society and government to analyze operational risk, financial risk, allocation risk, investment risk and social responsibility risk, and uses factor analysis method to extract the main influencing factors of financial risk of Listed Companies in electronic information industry, and to establish electronic information bank. The comprehensive evaluation model of financial risk of Listed Companies in industry is put forward. Finally, the measures to prevent and improve financial risk are put forward.
Keywords
Financial risk; Factor analysis method Social; Responsibility Perspective