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中国对东盟FDI投资风险及其防范措施研究

Research on the Investment Risks of China's FDI in ASEAN and Their Risk Mitigation Measures

摘要: 文章详细探讨了中国对东盟国家进行直接投资(FDI)所面临的各种风险及其防范措施。本文通过分析东盟国家的宏观环境、经济、社会文化和市场经营环境,揭示了中国企业在东盟投资过程中面临的投资环境不稳定、投资政策变动、宏观经济波动、汇率风险、文化差异和市场准入障碍等主要风险,提出了一系列针对性的风险防范措施,包括建立多层次的投资环境风险评估机制、强化金融工具运用、提高跨文化管理能力、优化市场准入策略和建立稳健的供应链管理体系等,旨在帮助中国企业有效应对东盟复杂多变的投资环境,提升投资安全性和成功率,促进中东盟经贸关系的健康发展。

Abstract: This article thoroughly discusses the various risks faced by China in making direct investments (FDI) in ASEAN countries and the corresponding preventive measures. By analyzing the political, economic, social, cultural, and market environments of ASEAN countries, the paper reveals the main risks Chinese enterprises encounter during investment in ASEAN, such as unstable investment environments, changes in investment policies, macroeconomic fluctuations, exchange rate risks, cultural differences, and market access barriers. A series of targeted risk prevention measures are proposed, including the establishment of a multi-level investment environment risk assessment mechanism, strengthening the use of financial instruments, improving cross-cultural management capabilities, optimizing market access strategies, and building a robust supply chain management system. These measures aim to help Chinese enterprises effectively cope with the complex and volatile investment environment in ASEAN, enhance investment security and success rates, and promote the healthy development of China-ASEAN economic and trade relations.

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[V1] 2025-02-10 16:49:29 PSSXiv:202502.00428V1 下载全文
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