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綠地學府公館項目管理中的風險分析與控制的研究

發(fā)布時間:2018-03-30 05:29

  本文選題:房地產 切入點:風險分析 出處:《南昌大學》2014年碩士論文


【摘要】:在全球經濟快速發(fā)展的時代背景下,人們對房地產的需求量不斷增加,房地產行業(yè)的發(fā)展進入一個空前的高峰期。中國的房地產行業(yè)也不例外,該行業(yè)對促進我國的國民經濟發(fā)展起了不可估量的作用。但是,目前中國的房地產行業(yè)的發(fā)展仍處于初級階段,管理方法仍有許多不足。眾所周知,房地產投資具有高投入、高風險的特性,因此,房地產行業(yè)的風險管理的問題就顯得格外重要了。 本文以綠地學府公館項目的風險管理為研究主體,共分為六章來進行闡述。本文首先介紹了房地產風險管理的研究背景和意義、國內外研究現狀;其次概述了房地產項目風險管理及風險識別的概念、分類、特征等相關理論;然后以綠地學府公館項目為例,通過對該項目的投資環(huán)境、市場供求、項目定位等幾個方面進行調查分析,得出了該項目的幾大風險類別及影響因素;接著對綠地學府公館項目的風險分別進行定性和定量的深入分析,,從而得出該項目風險分析的結果;最后,針對綠地學府公館各類不同的項目風險提出應對和監(jiān)控防范措施。 本文通過理論研究與實證研究兩者相結合的方法,將系統(tǒng)科學的理論知識與研究方法應用于綠地學府公館項目中,分別運用專家調查法和模糊數學綜合評價法對該項目風險進行定性和定量分析,更深入的對該項目風險進行分析研究,進而提出有效的風險管理應對措施及監(jiān)控體系,為房地產投資管理者提供一定的參考依據。
[Abstract]:Under the background of the rapid development of global economy, the demand for real estate is increasing, and the development of real estate industry has entered an unprecedented peak. China's real estate industry is no exception. The industry has played an inestimable role in promoting the development of China's national economy. However, at present, the development of the real estate industry in China is still in the primary stage, and there are still many deficiencies in the management methods. As we all know, real estate investment has a high investment. High-risk characteristics, therefore, the real estate industry risk management issues are particularly important. This paper takes the risk management of greenbelt university as the main body of study, divided into six chapters. Firstly, this paper introduces the research background and significance of real estate risk management, domestic and foreign research status; Secondly, it summarizes the concept, classification, characteristics and other related theories of risk management and risk identification of real estate projects. Then, taking the greenbelt school project as an example, through the investment environment of the project, the market supply and demand, The project orientation and other aspects are investigated and analyzed, and several risk categories and influencing factors of the project are obtained. Then, the risk of the greenbelt school building project is analyzed qualitatively and quantitatively. The result of risk analysis of the project is obtained. Finally, some countermeasures are put forward to deal with and monitor the project risk of greenbelt school. In this paper, the theoretical knowledge and research methods of system science are applied to the project of greenbelt university by combining theoretical research with empirical research. The qualitative and quantitative analysis of the project risk is carried out by using the expert investigation method and the fuzzy mathematics comprehensive evaluation method respectively, and the risk of the project is analyzed and studied more deeply, and then the effective risk management countermeasures and monitoring system are put forward. For real estate investment managers to provide a certain reference basis.
【學位授予單位】:南昌大學
【學位級別】:碩士
【學位授予年份】:2014
【分類號】:F299.233.5

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