论文部分内容阅读
近年来随着国民经济的快速增长,我国的房地产业也呈现出良好的发展态势。但是,在房地产业高速发展的背后,其所带来的投资风险也在日益增大,所以,在房地产项目投资决策中不但要考虑收益,更要准确地预测风险。本文通过借鉴国内外房地产投资风险研究中比较成熟的理论和方法,并结合我国房地产开发经营的实际情况,对中外房地产投资风险的差异,进行研究和论述,以其为房地产投资的风险管理提供有价值的决策依据。
In recent years, with the rapid growth of the national economy, China’s real estate industry has also shown a good momentum of development. However, behind the rapid development of the real estate industry, the investment risk brought by it is also increasing day by day. Therefore, in the investment decision of real estate project, not only the profit but also the risk should be predicted accurately. Based on the comparatively mature theories and methods in the research of real estate investment risk at home and abroad, and combining with the actual situation of real estate development and management in our country, this paper studies and discusses the differences of real estate investment risks between China and foreign countries, Value based on the decision.