Empirical Analysis on the Risk in Real Estate Industry under Macro Control
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    Abstract:

    Based on some qualitative analysis of the macroeconomic control policies on real estate industry, this paper estimates the market risk coefficient (β) for listed companies in real estate industry,then tests the stability before and after several policy announcements, to explore the effects of macroeconomic control on real estate industry risks. The empirical results prove that most companies fluctuated significantly during the macroeconomic control process. That is, macroeconomic control had affected the market risk of real estate industry, but in different degrees. These macroeconomic controls just act as what they were expected.

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晏国菀,朱丹.宏观调控下的房地产业风险实证分析[J].重庆大学学报社会科学版,2010,16(2):27~32

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  • Received:December 17,2009
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