南京林业大学学报(自然科学版) ›› 2006, Vol. 30 ›› Issue (S1): 95-98.doi: 10.3969/j.jssn.1000-2006.2006.07.029

• 研究论文 • 上一篇    下一篇

房地产的预警方法

何立恒1,2,金晓斌1,周寅康1   

  1. 1.南京大学地理与海洋科学学院,江苏南京210093;2.南京林业大学土木工程学院,江苏南京210037
  • 出版日期:2016-12-28 发布日期:2016-12-28

Early Warning Methods for Real Estate

HE Li-heng,,JIN Xiao-bin,ZHOU Yin-kang   

  1. 1. College of Geography and Ocean Science Nanjing University, Nanjing 21093,China;2. College of CivilEngineering Nanjing Forestry University, Nanjing 21037,China;
  • Online:2016-12-28 Published:2016-12-28

摘要: <正>在房地产预警理论的指导下,按照研究方法的学科性质,将目前主要的房地产预警方法分为景气分析与数理统计方法、计量经济方法和非线性与系统论方法,并对景气分析、模式识别、ARCH预警、Hedonic模型、ANN、SWARM等方法进行了归纳和总结。

Abstract: Based on the early warning theory of real estate and scientific classification, the present methods for early warning of real estate were analyzed. The business cycle and quan- titative statistic methods, econometric methods and nonlinear and system theory methods were identified. The methods of business cycle analysis, pattern recognition, ARCH, He- dome, ANN, SWARM methods were summarized.

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