房地产投资风险指标体系及模糊综合评价模型 |
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引用本文: | 尹中晓,韩彦峰. 房地产投资风险指标体系及模糊综合评价模型[J]. 西安建筑科技大学学报(社会科学版), 2004, 23(4): 42-46 |
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作者姓名: | 尹中晓 韩彦峰 |
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作者单位: | 1. 西安建筑科技大学管理学院,陕西,西安,710055 2. 西安建筑科技大学财务处,陕西,西安,710055 |
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摘 要: | 借鉴现代控制理论应用系统工程思想针对房地产投资风险诸多模糊且属性复杂的评价条件 ,建立了一套系统、完整的房地产投资风险评价指标体系 ,进而用模糊综合评判的方法给出了评价房地产投资风险的模型 ,并对模型进行了分析 ,供房地产开发商决策参考。
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关 键 词: | 房地产投资 风险评价 指标体系 模糊综合评价 |
文章编号: | 1008-7192(2004)04-0042-05 |
修稿时间: | 2004-09-11 |
Risk Index System and Ambiguous Comprehensive Evaluation Mode Research on the Real Estate |
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Abstract: | It is difficult to give a satisfactory evaluation of the real estate because of the ambiguous and complex variables. Drawing lessons from the Modern Cybernetics, this paper applies the thought of System Engineering to establish a systematic and complete index evaluation system. Then a ambiguous comprehensive evaluation mode is established. At the end of this paper, the mode is analyzed for the real estate developers to refer to. |
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Keywords: | the real estate investment risk evaluation index system fuzzy comprehensive evaluation |
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