摘要
传统商业房地产开发风险控制模型的风险指标单一,无法获取多元线性面板数据,导致出现控制精度低、经济效益差等问题.为此,文章提出了新的商业房地产开发的多阶段风险控制模型,即建立多指标决策函数,获取与房地产开发多阶段风险控制向量对应的矩阵;建立风险控制多指标体系,计算指标权重,建立预测函数,将解释变量分析法引入风险控制混合回归模型,构建房地产开发多阶段风险控制模型.实验结果表明,文章构建的风险控制模型精度较高,具有理想的应用价值.
The traditional commercial real estate development risk control model contains a single risk index and cannot obtain multivariate linear panel data,resulting in some problems such as low control accuracy and poor economic benefits.Therefore,this paper proposes a new multi-stage risk control model for commercial real estate development,that is,to establish a multi-index decision function to obtain a matrix corresponding to the multi-stage risk control vector of real estate development,establish a multiindex system of risk control,calculate the index weight,establish the prediction function,introduce the explanatory variable analysis method into the risk control mixed regression model,and construct the multi-stage risk control model of real estate development.The experimental results show that the risk control model constructed in this paper has high accuracy and ideal application value.
作者
黄珂
HUANG Ke(South Branch,Wanda Real Estate Group Co.,Ltd.)
出处
《当代会计》
2022年第20期127-129,共3页
Contemporary Accounting
关键词
房地产开发
多阶段
风险控制
real estate development
multi-stage
risk control