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中国房地产区域投资组合实证研究 被引量:4

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摘要 次贷危机引起了人们对房地产投资风险的高度关注。基于房地产区域投资组合理论进行的实证研究发现,按照以经济基础划分的区域方案进行房地产区域投资组合,能够取得较好的效果;在区域选择指标中增加房地产自身供需因素,能够使这种效果更加显著;其次,不同的区域选择方案之间通常并不存在着绝对的优劣,投资者应主要根据自己能够接受的风险和收益做出选择;最后,不同区域数目的组合不能直接进行比较,否则有可能导致不同甚至错误的结论。此外,利用bootstrap技术,本文还发现根据区域房地产收益提出的区域组合方案具有稳定性。
作者 张坤 曾爱花
出处 《经济评论》 CSSCI 北大核心 2009年第2期31-36,56,共7页 Economic Review
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参考文献12

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二级参考文献10

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