摘要
在把房地产投资开发项目看作为一种具有弱再生性经济资源的基点上,对房地产投资开发活动进行了均衡分析,讨论了房地产开发活动中的最优平衡解及其相互之间的制约关系,分析了税收和配额价格等经济参数对最优平衡解的影响,给出了抑制房地产过度投资开发行为的控制模型与方法,并得出了相应的政策启示.这些研究结果,可以推广应用于其他各种可再生资源的投资开发与管理当中去,有着广泛的应用前景.
The thesis, on the basis of viewing the real estate investment programme as a kind of economic resources of a weak recycling atrihute, made a balanced analysis of the real estate investment activities, and a discussion on the optimized balance point of the real estate investment activities and their interrelations of check and balance. The thesis analyzed the influence that the tax, quota price and other economic parameters imposed on the optimized balance point. As a result the thesis offered the control model and method of restraining the excessive investment on the real estate and thus came down to some the eonrespondent policy indications. These findings can be applied to the investment and management of all other recycled resources and have a wide prospect of applictation.
出处
《数学的实践与认识》
CSCD
北大核心
2006年第11期54-61,共8页
Mathematics in Practice and Theory
基金
国家自然科学基金(70471066)
上海市教委计划立项课题(05SS09)
上海高校优青后备人选项目(04QHB174)
上海市基础研究重点项目(03JC14054)
关键词
投资者行为
行为规律
行为控制
数学模型
房地产行业
the investor's action
the action rules
the control of action
the digital model
the raal estate industry