摘要
随着我国经济增长速度的下滑,房地产项目投资收益相应减少,投资者不得不采取一系列措施降低投资风险,提升收益。首先我们必须认识房地产投资风险的特性,其次要知道风险产生的原因,最后通过研究发现有一系列风险管理及应对措施,这些对投资者分析及应对房地产项目投资风险并提升投资收益有着举足轻重的作用。
With the decline of China's economic growth rate,the investment income of real estate projects has decreased accordingly.Investors have to adopt a series of measures to reduce investment risks and increase profits.First,we must understand the characteristics of real estate investment risk,and secondly,we must know the causes of the risk.Finally,we found that there are a series of risk management and response measures through research,which play an important role in analyzing and responding to real estate project investment risks and improving investment income.
作者
石振彤
SHI Zhen-tong(China University of Mining % Technology,Beijing,Beijing 100083,China)
出处
《价值工程》
2019年第30期40-42,共3页
Value Engineering
关键词
房地产项目投资风险
投资风险因素
风险管理办法
风险应对对策
real estate project investment risk
investment risk factor
risk management approach
risk response countermeasure