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Systematic Risk of Real Estate Investment and Investment Portfolio Method

机译:房地产投资的系统性风险与投资组合法

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The real estate is a wade with large cost,long period and high risk.A lot of risks is confronted in real estate investment.These decide the importance of executing real estate investment and risk management.Investment portfolio is one of the efficient methods to reduce real estate investment risks.This paper applies portfolio,combining the possible condition of development in our country's real estate at present.Special risk of real estate investment is analyzed,a model of real estate based on least risk and anticipated profit is given in the discussion of the concerned parameters and a empirical analysis of the example is showed.At last,many measures are put forward to avoid the risks of real estate investment.
机译:房地产成本高,周期长,风险大。房地产投资面临很多风险。这些决定了进行房地产投资和风险管理的重要性。投资组合是减少房地产投资的有效方法之一。房地产投资风险。本文应用证券组合,结合当前我国房地产发展的可能条件。分析了房地产投资的特殊风险,讨论了一种基于最小风险和预期收益的房地产模型。最后,提出了许多措施来规避房地产投资的风险。

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