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房地产投资的风险与投资组合
引用本文:盛承懋.房地产投资的风险与投资组合[J].苏州科技学院学报(工程技术版),1999(1).
作者姓名:盛承懋
作者单位:苏州城建环保学院城管系!苏州,215011
摘    要:文章应用投资组合理论,分析了房地产投资风险与收益的组合关系,进而引入了现代投资组合理论、资本资产定价模型,并据此讨论对房地产投资风险进行定量分析,从而达到降低风险的目的。

关 键 词:房地产投资  风险  投资组合

RISKS OF PROPERTY INVESTMENT AND PORTFOLIO
Sheng Chengmao.RISKS OF PROPERTY INVESTMENT AND PORTFOLIO[J].Journal of University of Science and Technology of Suzhou:Engineering and Technology,1999(1).
Authors:Sheng Chengmao
Abstract:Based on the investment portfolio theory, this paper analyses the relationship between the income and the risks arising from the property investment. Consequently, the Modem investment Portfolio Theory and foe Capital Asset Pricing Model is introduced in the discussion of how to cop out tile quantitative analysis on the property investment risks in older to reduce the risks.
Keywords:property investment  risks  investment portfolio  Capital Asset Pricing Model  
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