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2008年以来,面对房地产业越吹越大的泡沫,为保持市场稳定,国家相继出台相关政策文件对房地产业和房地产市场进行宏观调控,规范市场交易。本文针对我国当前房地产市场存在的投资风险的特征和类型,提出便于房地产投资企业操作的投资风险管理策略,以期在国家宏观调控背景下,对房地产投资企业制定并实施与企业面临的内外部环境相适应的投资风险管理对策提供有益建议,助其克服苦难,迎接挑战。
Since 2008, in the face of more and more bubbles in the real estate industry and in order to maintain market stability, the state has successively issued relevant policy documents to conduct macro-control over the real estate and real estate markets and regulate market transactions. In this paper, according to the characteristics and types of investment risks in the current real estate market in our country, this paper puts forward investment risk management strategies to facilitate the operation of real estate investment enterprises in the hope of establishing a real estate investment enterprise with the internal and external environment Adaptation investment risk management measures to provide useful suggestions to help overcome the suffering and meet the challenges.