本科论文AbstractFund management is a key link in the company's financial management.Fund managementplays an important role in the company's production and operation.For company groups,asthe number of subsidiaries in the group increases,capital management plays a key role in thecompany's development.The company's traditional capital management has many drawbacks,which is not conducive to the company's healthy economic development and stable operation.Therefore,it is necessary to improve the management of company funds.This article takesHarbin Pharmaceutical Group as an example,analyzes all aspects of Harbin PharmaceuticalGroup's capital management using literature analysis and literature retrieval methods,and atthe same time discusses the capital management theory and the main content of the companygroup from the perspective of financial management.On the basis of sufficient theoreticalanalysis,the theory and case are combined to analyze the current situation and problems ofHarbin Pharmaceutical Company's fund management.The financial analysis of HarbinPharmaceutical Group's 2016-2019 annual report and related materials used to comparevarious data describe the current status and reasons of Harbin Pharmaceutical Group'sfinancial,investment and performance risk management.Finally,this article introducesappropriate solutions for Harbin Pharmaceutical Group's financial,investment and earningsrisks.Key words:Fund management,risk management,Harbin pharmaceutical group
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