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Research on the status quo and solution strategy of bad financial assets

Yingfei Huang

Abstract


This paper examines the current situation and resolution strategies of non-performing financial assets. Firstly, the definition and
classification of non-performing financial assets are provided and discussed in depth through case studies. The scale and trend of global
non-performing financial assets and their impact on the financial market are analyzed, and the situation of non-performing financial assets in
different countries and regions are compared. Next, the root causes of the problem of non-performing financial assets are revealed through
cause analysis, including macroeconomic factors, internal factors of financial institutions and regulatory policy factors. Then, the resolution
strategies of non-performing financial assets are studied, including the methods and tools for non-performing asset disposal, and policy rec_x005fommendations are proposed through successful case studies. Finally, the risk management of non-performing financial assets is discussed,
including risk assessment and monitoring measures.

Keywords


Non-Performing; Financial Assets; Status; Resolution

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References


[1] Yao Huihui. Discussion on legal issues and strategies of bank-type financial non-performing assets disposal[J]. 2021.

[2] Wang Liqin,Hou Rongrong. Research on optimisation strategy of enterprise financial assets management under new standard[J].

Chinese Science and Technology Journal Database (Full Text Edition) Economic Management, 2022(12):4.

[3] Cai Hongyi. An analysis of strategies and methods of disposal of non-performing assets by local asset management companies[J].

Times Finance, 2021(23):3.




DOI: http://dx.doi.org/10.18686/fm.v9i1.12041

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