Research on Risk Management and Control in Fiscal Investment Evaluation
Abstract
The paper starts by discussing the background and significance of fiscal investment evaluation, analyzing the current risks faced,
and proposing corresponding solutions. Subsequently, it focuses on the identification, assessment, and control methods for risks in fiscal
investment evaluation, including risk identification tools, risk assessment models, and risk control strategies. By utilizing risk management
and control methods appropriately, the risks in fiscal investment evaluation can be effectively reduced, and the utilization efficiency of fiscal
funds can be enhanced.
and proposing corresponding solutions. Subsequently, it focuses on the identification, assessment, and control methods for risks in fiscal
investment evaluation, including risk identification tools, risk assessment models, and risk control strategies. By utilizing risk management
and control methods appropriately, the risks in fiscal investment evaluation can be effectively reduced, and the utilization efficiency of fiscal
funds can be enhanced.
Keywords
Fiscal Investment Evaluation; Risk Management; Risk Control; Assessment; Control Measures
Full Text:
PDFReferences
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DOI: http://dx.doi.org/10.18686/fm.v8i6.11727
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