摘要
随着经济全球化的不断深入以及新兴国家房地产业的火爆发展,房地产投资全球化发展的趋势将不可逆转。在当前国际经济一体化环境下,跨国房地产投资主要动因是扩大市场机会、追求高额收益和分散风险;总体来看,跨国房地产投资的风险:一是国家风险,二是市场风险,三是交易风险。文章指出新兴国家在保护国内房地产业和国民经济发展的宏观调控上,必须要引起足够的重视,并对新兴国家的宏观调控提出了两方面的建议。
The paper points out that the investment in real estate is developing towards globalization.It argues that under the environment of international economic integration,the agents for transnational investment in real estate include: expanding market opportunity,pursuing high benefits,and decentralizing risks.The risks involves national risk,market risk and business risk.The paper goes on to offer that for the burgeoningcountries,more attention must be paid to the macro-control on the protection of domestic real estate industry and the growth in the national economy.
出处
《中国国土资源经济》
北大核心
2007年第6期25-27,47,共3页
Natural Resource Economics of China
关键词
跨国房地产投资
动因
风险
transnational investment in real estate
agent
risks