摘要
主要研究了房地产项目本身的风险度量问题 .在定量风险分析模型的基础上 ,深入探讨了房地产项目投资风险程度与风险概率的度量方法 ,以使房地产项目投资风险度量的分析方法规范化与程序化 .
Risk of real estate investment is a difference between the project expected benefits and its actual ones, which is affected by random factors. Based on quantitative analysis models, a normal risk measuring process is obtained in this paper.
出处
《广州大学学报(自然科学版)》
CAS
2003年第4期384-388,共5页
Journal of Guangzhou University:Natural Science Edition
关键词
房地产
投资
风险度量
real estate
investment
risk measuring