Please use this identifier to cite or link to this item: https://hdl.handle.net/20.500.12540/614
Title: The relationship between capital structure and financial risk: a survey of literatures
Authors: He, Shuiqing 
Issue Date: 2020
Source: He, S. (2020). The relationship between capital structure and financial risk: a survey of literatures [Unpublished bachelor's thesis]. Wenzhou-Kean University.
Abstract: Capital structure theories have been developing as an essential topic in finance, and it is relatively crucial for both professionals and scholars to recognize the significance of an optimal capital structure and the corresponding financial risks. The purpose of the research is to find out the previous research about capital structure, financial risk, and their relationship. As a structured and comprehensive literature review, the survey adopts the qualitative methodology, describing the fundamental definitions, the development of theories, and the important researches about China and other detailed related data. Furthermore, this paper suggests future researches to provide more in-depth knowledge with more geographic regions and respected scholars as the sample of studying capital structure, as well as the measures of financial risks.
URI: https://hdl.handle.net/20.500.12540/614
Appears in Collections:Theses and Dissertations

Files in This Item:
File Description SizeFormat 
wku_etd001_cbpm01_000542.pdf811.36 kBAdobe PDFThumbnail
View/Open
Show full item record

Page view(s)

60
checked on Sep 19, 2021

Download(s)

4
checked on Sep 19, 2021

Google ScholarTM

Check


This item is licensed under a Creative Commons License Creative Commons