From the tightening of the policy environment; real estate; real estate financial risk 翻译结果5复制译文编辑译文朗读译文返回顶部 From tight policy environment; Real estate finance; Real estate finance risk 相关内容 a不要妨碍他人 他の人々を妨げてはいけない[translate] ...
study on financial risk of real estate enterprises 随着社会经济的发展,房地产业经历了长期的繁荣期。然而,在过去几年中,随着政策的不断推出和市场的变化,地产企业开始面临着越来越多的风险。因此,对地产企业的财务风险进行研究显得尤为重要。 一、地产企业的风险概述 地产企业的风险主要包括市场风险、价格波动风险...
Financial risk of real estate 翻译结果4复制译文编辑译文朗读译文返回顶部 Real estate finance risk 翻译结果5复制译文编辑译文朗读译文返回顶部 Real estate finance risk 相关内容 afinished writing 完成的写[translate] a让双方快速取得联系获得信息 正在翻译,请等待...[translate] ...
objectivityoffinancialrisk.Intherealwork,alotofrealestateenterprise financialmanagementpersonnellackofriskawareness,thinkthataslongasthemind, withgoodmoney,won'tproducethefinancialrisk,riskconsciousness.Establish financialearlywarningsystemforalongtime,theprofitability,debtpaying ...
Real estate is not only a vital part of the economy but also the primary financial asset of many companies and citizens. Real estate is not only a big asset class, but also a risky one. It is in fact a ubiquitous industry that faces risk on many fronts. Property is still the last ...
real estate enterprises is improving. Since November, major banks such as Industrial and Commercial Bank of China, Agricultural Bank of China, Bank of China, China Construction Bank, and Bank of Communications have provided over 30 billion yuan in real estate development loans to non-state-owned ...
This paper, taking Chenzhou of Hunan Province as an example, conducted a special investigation and analysis on the financial risk of the real estate market in the context of de-stocking. The results show that while the housing market warmed up and inventories achieved remarkable results, the tran...
伦敦政治经济学院的房地产经济与金融硕士项目(MSc Real Estate Economics and Finance)将当前的学术型的经济、金融分析研究与房地产市场的应用研究相结合,将使你了解城市经济进程、土地和房地产市场的价格决策、投资分析和投资组合选择,以及土地使用法规、公共政策和社会经济变革。
The paper chose eight real estate companies that were listed on the Stock Exchange of Shanghai and Shenzhen as research samples. It adopted the real financial data from the companies' financial crisis two years ago and built a financial risk recognition model. The financial risk control and dispo...
Journal of Financial Economics (1976): 83–123. Ross, Stephen A. and Zisler, Randall C. “Managing Real Estate Portfolios: Part 2: Risk and Return in Equity Real Estate.” Goldman Sachs Real Estate Research Report 1987a. Ross, Stephen A. and Zisler, Randall C. “Managing Real Estate ...