Stocks under warning and control are typically due to factors such as poor financial health, lack of transparency, or regulatory violations. To address this issue, necessary measures include strengthening financial reporting, enhancing corporate governance, and improving information transparency. Managers can establish a recovery plan with a specific roadmap to improve financial performance, attract investments, and enhance investor confidence. Positive interaction among the company, investors, and regulatory agencies is crucial, along with regular monitoring to ensure effective implementation of these measures.
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