Abstract:
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.
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郑州工业大学学报
Year: 1999
Issue: 01
Page: 3-5
Cited Count:
WoS CC Cited Count: 0
SCOPUS Cited Count:
ESI Highly Cited Papers on the List: 0 Unfold All
WanFang Cited Count:
Chinese Cited Count:
30 Days PV: 20
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