Analysis on Finance Model and Risk Control for (财务分析模型和风险控制).pdf
文本预览下载声明
Journal of Statistical and Econometric Methods, vol. 2, no.2, 2013, 1-10
ISSN: 2051-5057 (print version), 2051-5065(online)
Scienpress Ltd, 2013
Analysis on Finance Model and Risk Control for Supply
Chain Finance
Qian Zhang1 and Zhixiang Zhang2
Abstract
As a new modern business model, the unique advantage was proposed for supply chain
finance in proposing in small and medium enterprises and competitiveness making of
industry chain. But in the risk assessment the unified perfect evaluation , standard is still
lack. The finance model of supply chain is first given in this paper , through the analysis
of the risk factors, the system risk evaluation system is established in fuzzy
comprehensive evaluation. Through the analysis of an enterprise in non-ferrous metal
pledge financing reservoir, the risk of each enterprise is quantified in the supply chain.
And then the risk control platform is set up, including the finance institution, logistics
enterprises and financing enterprises.
Mathematics Subject Classification: 53-02, 91
Keywords: Fianance mode, Supply chain fianance, Risk Control, Fuzzy evaluation
1 Introduction
Mickle. D. Potom, the well-known company manager, who has made “The supply chain
theory”, said that the task of company is to make a value. The supply chain developed
basing on the company value chain. The supply chain, which is rounded by the core
company, try to manage and control the logistics, information and finance, travel the
product to consumers at last. So the suppliers, producers, sellers and consumers join to
construct net value model. In the 21 century, the competitions between the companies
must be the competitions betwe
显示全部