The biggest risk is the lack of long-term capital, high interest rates, while difficult to borrow long-term funds from the bank, while the output of the real estate market remains weak and unstable. Because an enterprise with little equity, the amount of investment projects much larger long-term capital needs, so in addition to enhanced exploitation of small and medium projects, safety outputs to cumulative sales short-term profit, TIG is planning to increase its charter capital, equity to serve the investment strategy developed large projects, long-term safety and balancing cash flow, minimal multi use short-term funds for long-term investment spread.
Stock market volatility was also a risk factor affecting the value of investment securities and other financial investments of TIG. However current TIG restructured portfolio, limiting investment in securities, focused investment strategy M & A, long-term investment in the business potential and keep active role in governance should have minimized the risks.
Commercial activities, distribution of goods with the basic risk inventory, merchandise quality, large loan, settlement risk, market risk consumption and competition ...., but the trade-oriented activities, goods distribution of TIG done in the form of investment in business systems have market share and stable customer base, develop tech products, "green", environmentally friendly, has a good market for the present and future, only the exclusive distribution activities, when importing goods orders, money, sales are expected safety project funded or selling online has placed before ..., thereby minimizing the risk as commercial operations, distribution alone.
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