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Analyzing Corporate Financial Stability and Risk Management: A Multi-Method Approach

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DataCite Commons2025-05-11 更新2025-05-17 收录
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https://dataverse.harvard.edu/citation?persistentId=doi:10.7910/DVN/XMVD5L
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资源简介:
This study focuses on analyzing corporate financial stability, with a specific emphasis on financial risk management. Utilizing a dataset2006 to 2021,we employ a multi-method approach, integrating the Altman Z-score, Beneish M-Score, Piotroski F-score, advanced machine learning algorithms, and Monte Carlo simulations
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Harvard Dataverse
创建时间:
2024-01-13
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