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针对合作开发房地产项目收益的随机波动特性,首次建立了合作对策的期望收益分配模型,在此基础上提出了合作开发房地产项目的风险决策方法.
Aiming at the stochastic volatility of real estate project proceeds, the model of expected return distribution for cooperation strategy is established for the first time. Based on this, the risk decision-making method for cooperative real estate project development is put forward.