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Identification, evaluation, and allotment of critical risk factors (CRFs) in real estate projects India as a case study

机译:房地产项目中的危险风险因素(CRF)的识别,评估和分配印度作为一个案例研究

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The boom of real estate has been a motivating force for economic growth in India for the past few years. However, the Real Estate (RE) market of India is still in the embryonic phase and juvenile. In the context of the real estate projects, it is a general situation observed that such projects cannot meet the target as the Indian real estate companies are deficient in scientific management technology to confront the risks. The research paper aims to focus mainly on constraints and demurral of Risk Management (RM) in RE firms of India to investigate findings for the same in the Indian Real estate market and further focusing on RE projects of Ahmedabad. The paper is mostly founded on an overview of individuals who are straightforwardly or firmly identified with the administration and the RE business in India. The questionnaire survey shall be targeted over the five prime territories of Ahmedabad. This research further highlights to concerned identified primary critical risk factors (by Criticality Index Method) influencing the residential real estate market and then developing a framework for assessing the factors carrying out the quantitative analysis using various analytical methods of SPSS software, Factor analysis, ANOVA and Post-Hoc Test. The validation of the results has been done through a survey of experienced experts. The critical risks identified based on the questionnaire survey are modeled through the decision tree diagram.
机译:过去几年,房地产的繁荣是印度经济增长的动力。然而,印度的房地产(RE)市场仍处于胚胎期和少年。在房地产项目的背景下,这是一般的情况,观察到,因为印度房地产公司在科学管理技术缺乏面临风险的情况下,这种项目无法满足目标。该研究文件旨在主要关注印度的RECE公司的风险管理(RM)的限制和减压,以调查印度房地产市场中同样的调查结果,进一步关注艾哈迈达巴达的重点。本文主要成立于个人直截了当地或牢固地确定在印度的行政和重新业务方面的个人。调查问卷调查应占Ahmedab​​ad的五个主要领土。这项研究进一步突出了影响住宅房地产市场的核查初始危险因素(按累积性指数方法),然后开发一种评估使用SPSS软件的各种分析方法进行定量分析的因素的框架,提供框架后HOC测试。通过对经验丰富的专家的调查进行了验证。根据调查问卷调查确定的临界风险通过决策树图进行建模。

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