摘要
针对风险投资及风险企业的特点,在模糊层次分析法的基础上建立了风险投资后续管理中的风险评估模型,为风险投资后续管理提供了决策方法。该模型的特点在于:①提出了调整模糊判断矩阵的行为假设,通过修正重要参数的取值范围,完善了相关定理体系;②修改了多目标决策的规范化方法,建立了适用于单一项目评价的3种定量指标的计算公式,并进一步建立了融合定性与定量指标的模糊综合评价模型,使评估结果更加准确。最后,通过案例分析验证上述模型的可行性。
Combined the characteristics of venture enterprises, a model for evaluating risks of venture capital investment was built based on FAHP method to help venture investors make decisions. The model is characterized by the follows.. (1) three hypotheses is proposed to adjust the FAHP and the area of important parameters is modified to perfect the system of FAHP theorem; (2) the formu- lae of three quantitative indexes is created by revising the normalization method applying to multi-objective decision and (3) an informal evaluation is done. The flexibility of this model was testified by a study case.
出处
《管理学报》
CSSCI
2008年第1期54-58,77,共6页
Chinese Journal of Management
基金
国家自然科学基金资助项目(70302008)
辽宁省科技基金资助项目(1051354)
辽宁省社科基金资助项目(L06BJY011)
关键词
风险投资后续管理
风险评估
模糊层次分析法
post-investment management of venture capitalists
risk evaluation
FAHP method