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In recent years, there have been many theoretical and empirical researches on commercial real estate. Based on the contents and related theories, we review the research scope, main contents and methods about risk management of commercial real estate. Research scope includes macro study on risks of real estate industry and micro study on risks of enterprises and projects. Research contents mainly concentrate...
First, the thesis analyzes the meaning of financial risk of real estate enterprise. Then, the paper collects 50 real estate listed enterprises' financial data from 2006 to 2010. And combined with financial characteristics of real estate enterprises, it establishes the index system of financial risk evaluation. And then, by correlation analysis, the paper selects 11 financial indexes for factor analysis...
In this paper, We first review the generation and development of the volatility used in financial time series. Later, we investigate the application of volatility into real estate investment trusts area. More researchers focus on models of estimation, characteristics and forecast. Analyzed the modeling and empirical results, we find that ultra-high-frequency (UHF) data application in REIT volatility...
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