摘要
城市房地产投资具有较大的风险,为预判和研究它的风险大小及风险情况,结合其风险特点,通过未确知测度模型来全面科学的分析,构建城市房地产风险评价体系,进而衍生出风险评估的科学方式.所建模型提供了一种定性、定量相结合的对投资风险综合评价的新途径.
In order to predict and study the risks in urban real estate investment,this paper applies the unascertained measure model to make comprehensive and scientific analysis combined with the characteristics and then establishes a risk evaluation system and derives scientific methods of risk assessment.The model provides a new way of comprehensively qualitative and quantitative evaluation over investment risks.
出处
《菏泽学院学报》
2017年第5期65-69,共5页
Journal of Heze University
关键词
房地产
投资风险
未确知测度
real estate
investment risk
unascertained measure