滁州学院学报
滁州學院學報
저주학원학보
JOURNAL OF CHUZHOU UNIVERSITY
2011年
3期
28-30
,共3页
房地产%投资%非系统性风险%策略组合
房地產%投資%非繫統性風險%策略組閤
방지산%투자%비계통성풍험%책략조합
real estate%investment%unsystematic risk%strategy combination
文章通过房地产投资成效风险因素分析,明确了影响房地产投资成效的两大风险分类,并在深入研究我国近年来房地产市场发展情况的基础上,具体探讨了房地产投资非系统性风险中的资金链断裂风险和销售价格风险形成的深层次原因,运用投资组合策略理论对如何防范化解房地产投资非系统性风险进行了理论探讨,提出了实际工作中应把握的三点对策。
文章通過房地產投資成效風險因素分析,明確瞭影響房地產投資成效的兩大風險分類,併在深入研究我國近年來房地產市場髮展情況的基礎上,具體探討瞭房地產投資非繫統性風險中的資金鏈斷裂風險和銷售價格風險形成的深層次原因,運用投資組閤策略理論對如何防範化解房地產投資非繫統性風險進行瞭理論探討,提齣瞭實際工作中應把握的三點對策。
문장통과방지산투자성효풍험인소분석,명학료영향방지산투자성효적량대풍험분류,병재심입연구아국근년래방지산시장발전정황적기출상,구체탐토료방지산투자비계통성풍험중적자금련단렬풍험화소수개격풍험형성적심층차원인,운용투자조합책략이론대여하방범화해방지산투자비계통성풍험진행료이론탐토,제출료실제공작중응파악적삼점대책。
Two risks in real estate investment are explained by analyzing the risk factors of the real estate investment.The in-depth reasons of unsystematic risks of the cash chain rupture and low selling prices in the real estate investment are analyzed according to the recent development of the real estate market.Preventing and reducing the unsystematic risks in the real estate investment are discussed according to the combined investment theory and three specific measures to tackle the risks are offered.