Research on the Financial Risks Volatility and Financial Risks Modeling and Simulation of Chinese Real Estate

被引:0
|
作者
Chen, Ye [1 ]
He, Feng [1 ]
机构
[1] Jiangxi Normal Univ, Coll City Construct, Nanchang 330022, Peoples R China
关键词
Chinese Real Estate; Financial Risks; Volatility; Modeling and Simulation;
D O I
暂无
中图分类号
C [社会科学总论];
学科分类号
03 ; 0303 ;
摘要
The real estate economy cannot develop without the support and development of real estate finance, and real estate finance as a high-investment, high-yield, high-risk, capital-intensive industries, the possibility of fluctuations, risk and crisis is extreme large. If does not make scientific analysis and judgment of risk fluctuations in the real estate finance and establish a scientific and reasonable financial risk modeling and simulation, there is inevitable possibility of the existence of potential risks and cumulative. Once this possibility transfers into reality, it will inevitably affect the real estate economy sustained and healthy development, thereby affecting the development of the national economy. Therefore, the study of financial risks volatility and financial risk modeling and simulation of Chinese real estate has important theoretical and practical significance.
引用
收藏
页码:578 / 581
页数:4
相关论文
共 50 条
  • [21] Clinical research and the financial markets: opportunities and risks
    Scardino, PT
    [J]. NATURE CLINICAL PRACTICE UROLOGY, 2005, 2 (12): : 573 - 573
  • [22] Research on Risks Control of Financial Services Outsourcing
    Zhao, Rui
    Xing, Xiuqin
    Fang, Yan
    [J]. INTERNATIONAL CONFERENCE ON ENGINEERING AND BUSINESS MANAGEMENT (EBM2011), VOLS 1-6, 2011, : 2261 - 2264
  • [23] Research on relationship among chinese real estate economy, financial support and urbanization
    Yang, Yunyan
    Hu, Naipeng
    [J]. PROCEEDINGS OF 2007 INTERNATIONAL CONFERENCE ON CONSTRUCTION & REAL ESTATE MANAGEMENT, VOLS 1 AND 2, 2007, : 1063 - 1066
  • [24] The risks of financial institutions
    Carey, Mark
    Stulz, Rene M.
    [J]. RISKS OF FINANCIAL INSTITUTIONS, 2006, : 1 - 25
  • [25] HANDLING FINANCIAL RISKS
    MOORE, PG
    [J]. OMEGA-INTERNATIONAL JOURNAL OF MANAGEMENT SCIENCE, 1979, 7 (03): : 183 - 190
  • [26] MANAGEMENT OF FINANCIAL RISKS
    Astakhova, I. E.
    Karachentseva, I. O.
    Kmetik, L. M.
    [J]. FINANCIAL AND CREDIT ACTIVITY-PROBLEMS OF THEORY AND PRACTICE, 2008, 2 (05): : 43 - 46
  • [27] The Risks of Chinese Subnational Debt for Public Financial Management
    Guess, George M.
    Ma, Jun
    [J]. PUBLIC ADMINISTRATION AND DEVELOPMENT, 2015, 35 (02) : 128 - 139
  • [28] Educational simulation in construction project financial risks management
    Purnus, Augustin
    Bodea, Constanta-Nicoleta
    [J]. CREATIVE CONSTRUCTION CONFERENCE 2015, SELECTED PAPERS, 2015, 123 : 449 - 461
  • [29] Managing Risks in Financial Markets: A Market Simulation Approach
    Abioye, Olukorede Eliza
    Theodoulidis, Babis
    Dimitrkopoulos, George
    Nikolaos
    Hyde, Stuart
    Diaz, David
    [J]. 2012 THIRD INTERNATIONAL CONFERENCE ON SERVICES IN EMERGING MARKETS (ICSEM), 2012, : 75 - 86
  • [30] Neglected risks, financial innovation, and financial fragility
    Gennaioli, Nicola
    Shleifer, Andrei
    Vishny, Robert
    [J]. JOURNAL OF FINANCIAL ECONOMICS, 2012, 104 (03) : 452 - 468