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1.
公共危机因其影响广泛、破环性巨大正越来越受到各国的重视。2008年的越南金融危机是繁荣已久的世界市场倒下的第一张多米诺骨牌,谁将成为下一个?抑或这仅仅是一次独立危机?文章将通过越南危机分析我国发生公共危机的可能性。  相似文献   

2.
论企业危机管理体系的建立   总被引:1,自引:0,他引:1  
文章主要通过对企业危机管理理论的分析,从系统的角度对企业危机管理体系的构建进行了初步探索。  相似文献   

3.
文章针对企业危机产生的原因,就如何进行企业危机预防、企业危机发生后如何处理、危机结束后如何恢复企业形象等问题进行了论述。  相似文献   

4.
旅游危机事件管理的国内外研究综述   总被引:1,自引:0,他引:1  
文章试图对国内外旅游危机事件管理做个简单概述,以期对中国旅游危机事件管理的发展给与理论支持与参考。  相似文献   

5.
We argue that the 2007 crisis was not a global banking crisis. Stock prices of banks in emerging countries faced a temporary shock but quickly recovered, while stock prices of banks located in industrial countries remained much lower than before the 2007 crisis. Our results also suggest that stock prices of large banks were affected more during the crisis than those of small banks. We also find that managerial efficiency, loan quality, leverage, and the volume of outstanding loans affect bank stock prices.  相似文献   

6.
危机管理在企业界早已有之,但在高校中尚未引起足够的重视。文章将危机管理这一概念引入高校,并分析了高校危机产生的原因,提出高校危机管理工作要树立"防微杜渐"的管理思想。  相似文献   

7.
The financial crisis that hit Asia in 1997 was the economic equivalent of a typhoon. It came suddenly, leaving much destruction in its wake, in the form of bankruptcies and business closures, retrenchment, wage cuts and ultimately high unemployment. Much has been written about the financial, economic and social ramifications of the crisis. This paper takes a critical look at the human resource practices adopted by an industry that appears to have been particularly affected by the subsequent economic downturn – the hotel industry. We consider how managers responded to the economic turbulence by confronting the apparently dichotomous pressures of tightening structure and managerial control, on the one hand, and the need to permit the flexibility that would facilitate change and innovativeness, on the other. Findings from a sample of hotels suggest that, while managers recognize the need to allow flexibility that would foster employee creativity, there remain deep-seated cultural and other factors that militate against such flexibility. This casts doubt on the organizations' ability to generate and sustain employee creativity and a climate in which employees can respond to unexpected challenges as they struggle to satisfy equally unusual customer demands.  相似文献   

8.
文章就"危机激励"作了一系列探讨,通过一些具体的理论分析和实证研究,显示出危机激励的优点在于它可以根据民营企业不同时期的经营状况充分加以应用,充分展示其柔性和弹性,改善了传统的正向激励模式所呈现出的刚性和硬性。并对"危机激励"在民营企业中的应用状况作了简要的概述,使得"危机激励"在民营企业中不仅具有理论上的可行性,同时具有实际应用价值和可操作性。  相似文献   

9.
姚薇 《企业技术开发》2009,28(11):82-83,98
文章阐述了由美国次贷危机所引发的全球性金融危机的爆发,分析了全球金融危机对我国经济和资本市场的影响,并从中得出我国资本市场发展的若干启示。  相似文献   

10.
城市危机管理模式新探   总被引:2,自引:0,他引:2  
宋超 《城市问题》2007,(12):79-84
城市是各种危机最频发的地区,我国城市的危机管理形势非常严峻.在充分研究城市公共危机的表现形式和基本特点的基础上,积极探讨城市危机管理模式的转换,从法律体系、中枢指挥系统、信息管理系统、预警系统、社会联动机制等方面进行机制创新.  相似文献   

11.
经济危机对中国企业的影响   总被引:1,自引:0,他引:1  
文章针对当前经济危机爆发的现状,概括经济危机对企业的具体影响,提出中国企业应对危机的具体措施以及要处理好的几个关系。  相似文献   

12.
近年来产品危机频频爆发,一些大企业在危机面前显得无能为力;对于中小企业来说,产品危机也许就是灭顶之灾。防灾胜于救灾,产品危机重在预防。构建一个行之有效的产品危机预防机制对于中小企业的健康成长具有重要意义。  相似文献   

13.
This paper examines the changing nature of volatility spillovers among the U.S. and eight East Asian stock markets between two financial crises: the Asian currency crisis and the U.S. subprime credit crisis. Our empirical results suggest that volatility is not always spilled over from the directly affected markets to surrounding markets in crisis periods. The East Asian markets who directly suffered from the Asian currency crisis are the ones to which volatility is spilled over from other markets during the Asian currency crisis period, whereas uni-directional volatility spillovers from the U.S. market to other markets are observed during both crisis periods. This difference can be explained by a pre-determined hierarchy in which volatility spillovers tend to start from the U.S. market regardless of the geographical origin of the crisis. Furthermore, our results reveal that the markets in three major Asian financial hubs, i.e., Japan, Hong Kong and Singapore, are the markets to which volatility is spilled over uni-directionally from several other countries during the subprime credit crisis period, but not during the Asian currency crisis period. We attribute this difference to crisis-specific (currency or credit crisis), market-specific (credit derivatives market participation and foreign currency reserves), and time-specific (more integrated global market) factors.  相似文献   

14.
金融危机后,全球贸易下降,航运业受到重创,航运业为维持基本运营采取了多项自救措施来保证国际航运市场的发展。文中分析了金融危机后国际集装箱运输市场发展,同时提出了完善我国集装箱运输物流的建议。  相似文献   

15.
在国际金融危机下,武汉市进出口贸易也不容乐观。文中分析了当前金融危机对武汉市带来的影响,提出武汉市应如何积极应对金融危机。  相似文献   

16.
王梦婷 《企业技术开发》2005,24(9):55-56,96
文章指出传统的公共危机管理是以政府为主体,而目前的危机管理则要寻求一种整合模式,构建一个危机管理的多边合作体系,同时政府要注意处理好多边合作中较易产生的问题,切实提升危机管理的能力。  相似文献   

17.
王淑贞  甘瑁琴 《企业技术开发》2009,28(7):137-138,157
2008年9月,国内多个乳品品牌接连出现产品质量问题,使消费者对乳业品牌的信任度和忠诚度严重下降,乳业面临着严重的品牌危机困境,加强品牌危机管理已经成为乳品企业管理中的重要一环。文章主要分析了我国乳业品牌危机现状,并提出加强乳业品牌危机管理的相应对策,希望对国内乳业的发展起到一定的指导作用。  相似文献   

18.
当前,金融风暴愈演愈烈,虚拟经济危机对实体经济的冲击日渐严重,许多企业大遭其难。中小企业人力资源有限、资本积累少、技术力量薄弱,应对危机的能力相对欠缺,因此面临着更大的生存压力。对于中小企业而言,通过信息化提升企业的管理效率和创新能力,绝对是应对危机的良策之一。文章阐述了金融危机对中小企业的影响,分析了当前中小企业信息化的机遇与困难,并就中小企业如何运用信息化策略应对金融危机进行了探讨。  相似文献   

19.
浅析金融危机中我国国际贸易应对措施   总被引:1,自引:0,他引:1  
聂晖 《企业技术开发》2009,28(6):122-122,124
2008年注定是一个不平凡的一年。一场全球性的金融危机席卷而来,对美国乃至中国都产生了巨大影响。美国30年代的经济危机仍历历再目,由于美国国会突然通过高额关税法案实施贸易保护主义,使国际贸易总额急剧收缩,使30年代的美国经济危机更加严重。我国应该吸取30年代的教训,采取有效的措施来应对这场危机。  相似文献   

20.
Whether finance is beneficial to economic development remains ambiguous. There are studies arguing that finance can facilitate growth and increase stability. However, the recent global financial crisis has led some to argue that finance can decrease stability and lead to more crises. This paper constructs a non-monotonic framework of quantity of finance (measured by leverage) and financial crisis and decomposes leverage into fundamental and excess components. Using cross-country level data, the empirical results confirms that it is excess leverage, rather than fundamental leverage, that results in the increase of probability of financial crisis. Further empirical results show that excess leverage leads to a higher probability of currency crisis, asset price collapse, and banking crisis, while fundamental leverage helps alleviates the crises. This paper reconciles the two contrasting views of the relationship between finance and economic development and provides strong policy implication to pay special attention to the sudden increase of leverage, which is probably excessive, rather than fundamental leverage.  相似文献   

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