摘要
房地产业由于具有较强的前向、后向和旁侧关联度,已经成为我国产业链中重要的支柱产业之一。本文以Eviews6.0为平台,运用计量经济模型对泰安市GDP增长与房地产投资之间的关系进行了实证分析。同时探讨了关于房地产投资风险与控制,并针对当前形势提出了对房地产投资风险防范与控制建议。
The real estate industry has become one of an important chain of the pillar industries, because of its strong forward, backward and lateral correlation. In this paper, We use Eviews6.0 as a platform, make a empirical analysis about the relationship between the Tai an GDP growth and real estate investment with a econometric models. We also discussed the risks and controls on real estate investments, and put forward the recommendations about the real estate investment risk prevention and control to the current situation.
出处
《泰山学院学报》
2011年第4期105-110,共6页
Journal of Taishan University
基金
山东省软科学基金项目(2009RKB438)