房地产投资风险及防范策略分析 |
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引用本文: | 张宇祥,李影超,仇晓宇. 房地产投资风险及防范策略分析[J]. 商业研究, 2001, 0(1): 167-168 |
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作者姓名: | 张宇祥 李影超 仇晓宇 |
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作者单位: | 1. 哈尔滨工业大学,管理学院,黑龙江,哈尔滨,150001 2. 齐齐哈尔市土地管理局,黑龙江,齐齐哈尔,161005 |
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摘 要: | 房地产投资具有投资金额大、回收期长等特点,因此在房地产投资的各个环节中,收益始终是与风险同时存在的,特别是处在经济转轨时期的中国房地产投资,风险更是在所难免。分析我国房地产投资风险及其变化规律,实施投资分析、投资组合和保险等防范房地产投资风险的策略,对当前我国房地产业开发建设的健康有序发展具有重要的现实意义。
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关 键 词: | 房地产投资 风险 防范策略 |
文章编号: | 1001-148x(2001)01-0167-02 |
修稿时间: | 2000-09-26 |
A Study of Real Estate Investment Risk and Tactics |
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Abstract: | Real estate investment has some distinguishing features: heavy investment and long recovery etc., so interest and risk co-exist investment in property. Real estate investment is a risk investment in China especially. The paper discusses real estate investment risk and its regularity in China. and puts forward some proposals to avoiding risks. |
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Keywords: | real estate investment risk tactics |
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