摘要
根据房地产投资的特征与投资目标,利用成熟的单指数模型,资金成本率公式,建立了减少风险危害,保证投资有效的房地产投资项目组合的目标规划模型.
This paper measures the income and risk of real estate portfolios by using the single -index, wodel and capital of cost rate formula, Then according to the quality and investing principle of real estate, the paper establishes a goal program model in real estate investment of bundling business.
出处
《云南民族大学学报(自然科学版)》
CAS
2006年第2期119-121,共3页
Journal of Yunnan Minzu University:Natural Sciences Edition
关键词
房地产投资项目组合
单指数模型
资金成本率
目标规划
real estate investment of bundling business
single-index model
capital of cost rate
goal program