Based on the analysis of the capital structure, debt structure and solvency of Greenland holding real estate Co., Ltd., through the collation, calculation and comparative analysis of specific data, combined with its financing risk status, this paper accurately identifies its financing risk type, uses the analysis model combined with financial data to evaluate the company's financing risk degree, and determines the risk early warning mode of financial release, Then, aiming at the causes of financing risk, this paper discusses the measures and suggestions that can effectively control and avoid the financing risk of Greenland holding real estate Co., Ltd., aiming to provide reference for Greenland holding real estate Co., Ltd. to formulate debt risk management plan and decision-making, and provide valuable reference for promoting other listed real estate industry to avoid financing risk.<br>
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