摘要
基于控制和分散房地产投资风险的目的,考虑降低房地产投资风险的多种策略,建立了房地产投资决策的多目标规划数学模型,以解决房地产投资优化分配问题.此模型对提高房地产投资决策水平是有参考价值的.
Abstract From the viewpoint of controlling and dispersing the risk of the real estate investment,after considering several strategies,a multil-goal programming model of real estate investment is established to solve the optimum distributation problem of real estate investment. The model is useful for promoting the decision of real estate investment.
出处
《郑州工业大学学报》
1999年第1期33-35,共3页
Journal of Zhengzhou University of Technology
基金
国家自然科学基金