摘要
由于近几年房地产调控政策不断加码,通过投资房地产获利的人群占比明显下降。股票市场的不确定性也使得“规避风险”继续成为投资的首要指导理念。因此,高净值人士投资多元化的趋势愈加明显,除了房地产和股票,固定收益产品、全球资产配置等已经成为主要的投资选择。
'There used to be so many entities and now we have plenty of properties and even inventory of this much,so there will be more opportunistic investment choices in the future.' As pointed out by Chen Wen,for financial institutions the adoption of M&A fund or ABS tools will introduce more opportunities.
出处
《中国房地产金融》
2015年第4期44-47,共4页
China Real Estate Finance