论文部分内容阅读
基于控制和分散房地产投资风险的目的,考虑降低房地产投资风险的多种策略,建立了房地产投资决策的多目标规划数学模型,以解决房地产投资优化分配问题.此模型对提高房地产投资决策水平是有参考价值的.
Based on the purpose of controlling and diversifying real estate investment risk, we consider various strategies to reduce real estate investment risk and establish a multi-objective mathematical model of real estate investment decision-making to solve the problem of optimal allocation of real estate investment. This model is of reference value to improve the level of real estate investment decision-making.