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作 者:董万国 DONG Wanguo(School of Management Science and Engineering, AHUT, Ma’anshan 243002, China)
机构地区:[1]安徽工业大学管理科学与工程学院,安徽马鞍山243032
出 处:《安徽工业大学学报(社会科学版)》2020年第4期28-31,共4页Journal of Anhui University of Technology:Social Sciences
基 金:安徽工业大学青年教师科研基金项目(QS201903)。
摘 要:我国房地产市场发展迅速,房价快速增长,房地产投资风险不断增加。如何在保持房地产经济稳定发展的同时,也能有效地控制各种风险因素成为研究的重点。通过对房地产投资风险进行分类总结,以某二线城市房地产投资项目为例,运用层次分析法计算出房地产投资风险总排序,对房地产投资风险提出应对策略。With the rapid development of China’s real estate market and the rapid growth of housing price,the real estate investment risk increased gradually.How to maintain the steady development of the real estate economy,and also effectively control various risk factors become the focus of research.Through the summary of the classification of real estate investment risk,taking second-tier cities as examples,by means of analytic hierarchy process to calculate the total ranking of real estate investment risk,countermeasures will be put forward to deal with the risk factors.
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