Risk Analysis and Management Strategies for Entrepreneurial Investment

Yujie Weng
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Abstract

In the current economic environment, venture capital is not only a key driving force for technological innovation, but also an important means of promoting economic growth. However, the essence of venture capital involves high risk and high return, which requires investors, entrepreneurs, and relevant policy makers to conduct precise analysis and effective management of risks. This article aims to construct a comprehensive risk management strategy by analyzing the multidimensional risk factors of venture capital, including market risk, technology risk, team risk, and policy and regulatory risk. Through extensive review of relevant literature both domestically and internationally, combined with empirical data and case analysis, this study designs and establishes a risk assessment framework based on mathematical modeling. This framework not only comprehensively evaluates the risks of entrepreneurial projects, but also quantifies the degree of impact of various risks. Based on this evaluation model, the study further explores diversified strategies for entrepreneurial investors to cope with risks, such as portfolio optimization, risk diversification, and fund allocation recommendations, in order to reduce potential risks and improve investment efficiency. The innovation of this study lies in the application of advanced mathematical modeling methods to venture capital risk assessment and management, providing investors with scientific decision support tools, and providing new perspectives and practical guidelines for risk management research in the field of venture capital. The expected outcomes include publishing relevant academic papers and providing practical risk management strategies for investors, entrepreneurs, and policy makers to promote the healthy development of the entrepreneurial ecosystem.
创业投资的风险分析和管理策略
在当前的经济环境下,风险投资不仅是技术创新的重要推动力,也是促进经济增长的重要手段。然而,风险投资的本质是高风险、高回报,这就需要投资者、创业者以及相关政策制定者对风险进行精准分析和有效管理。本文旨在通过分析风险投资的市场风险、技术风险、团队风险、政策法规风险等多维度风险因素,构建全面的风险管理策略。通过广泛查阅国内外相关文献,结合实证数据和案例分析,本研究设计并建立了一个基于数学建模的风险评估框架。该框架不仅能全面评估创业项目的风险,还能量化各种风险的影响程度。在此评估模型的基础上,本研究进一步探讨了创业投资者应对风险的多元化策略,如投资组合优化、风险分散、资金配置建议等,以降低潜在风险,提高投资效率。本研究的创新之处在于将先进的数学建模方法应用于创业投资风险评估与管理,为投资者提供科学的决策支持工具,为创业投资领域的风险管理研究提供新的视角和实践指南。预期成果包括发表相关学术论文,为投资者、创业者和政策制定者提供实用的风险管理策略,促进创业生态系统的健康发展。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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