摘要
结合我国房地产业发展实际,从投资、政策、市场行为心理和城市信息化水平等4个方面论述了房地产周期波动的成因,探讨了对房地产周期波动进行预警和调控的理论依据。
In the light of the reality of real estate industry in China, this paper analyzes the causes of real estate cycles, based on investment, policy, market behavior psychology and levels of urban informationization. It also explores the theoretical basis for early warning and controlling of real estate cycles.
出处
《华中科技大学学报(社会科学版)》
2003年第2期19-25,共7页
Journal of Huazhong University of Science and Technology(Social Science Edition)
基金
国家自然科学基金项目(编号:79870055)
关键词
房地产周期
投资
政策周期
市场行为心理
信息化水平
real estate cycle
investment
policy cycle
market behavior psychology
levels of informationization