A non-financial indicators-based fuzzy warning model for this purpose is proposed to warn financial risks in enterprises correctly and really. The financial risk factors of finance were evaluated quantitatively by multi-fuzzy comprehensive judgments. For qualitative non-financial indicators, financial risk-fuzzy warning model was constructed by statistical methods quantitatively and qualitatively and tested to achieve more relevant and accurate warning.
万希宁, 王艳. 基于非财务指标的企业财务危机模糊预警模型研究[J]. J4, 2007, 4(2): 195-.
WAN Xi-Ning, WANG Yan. Non-Financial Indicators-Based Fuzzy Warning Model for Financial Risks in Enterprises. J4, 2007, 4(2): 195-.