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我国房地产投资风险分析与防范[一].doc

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PAGE 中国地质大学长城学院 本 科 毕 业 论 文 题目 我国房地产投资风险分析与防范以北京为例 系 别 经济系 专 业 经济学 学生姓名 朱 印 学 号 指导教师 于 诺 职 称 讲 师 2014 年 我国房地产投资风险分析与防范 摘 要 本文在总结国内风险分析的基础上,结合北京当前房地产市场现状,对中国房地产投资风险进行分析,对影响房地产投资收益的风险进行了归类,解释了各类风险的特征,从而为风险控制和防范提供有益的参考。使房地产开发企业以及投资者能够有针对性地建立相应的控制机制,以保障投资风险决策的正确实施。同时系统地阐释了风险回避、风险控制和风险转移等措施在房地产投资过程中的应用。最后得出在房地产投资活动中对于风险应保持高度关注,冷静分析对策,沉稳果决操作的结论。 关键词:房地产;投资; 风险评价 ABSTRACT This paper summarizes the country risk analysis, based on the status of the current real estate market combined with Beijing on China real estate investment risk analysis, risk affecting the real estate investment income were classified explained the characteristics of various types of risks, so as to risk control and prevention provide a useful reference. So that real estate development companies and investors can be targeted to establish appropriate control mechanisms to safeguard the correct implementation of investment risk decisions. While systematically explains the risk avoidance, risk control and risk transfer measures in the real estate investment process. The conclusion that in the real estate investment activities should remain highly concerned about the risk, calm analysis countermeasures, calm and decisive actions conclusions. Key words: Real estate; Investment; Risk assessment 中国地质大学长城学院2009届毕业论文 PAGE 2 1 目 录 TOC \o 1-3 \h \z \u HYPERLINK \l _Toc259040147 1前言 1 HYPERLINK \l _Toc259040148 2我国房地产投资现状 1 HYPERLINK \l _Toc259040150 2.1市场发育现状 1 2.2供给结构现状………………………………………………………………………………………………..1 2.3金融依赖程度………………………………………………………………………………………………..2 HYPERLINK \l _Toc259040151 3我国房地
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