近年來,運用金融經濟學的范式和方法對房地產進行了理論和實證研究。本研究的例子包括市場的運作和結構、各種制度安排的作用、對抵押貸款和資產證券化的關注、風險管理和估值、以及公共政策和監管。《房地產財經雜志》為本研究的發表提供了一個論壇。覆蓋范圍包括城市經濟、住房、區域科學和公共政策。
Recent times have seen an expansion of theoretical and empirical research on real estate using the paradigms and methodologies of finance and economics. Examples of this research include the working and structure of markets, the role of various institutional arrangements, the attention given mortgages and asset securitization, risk management and valuation, and public policy and regulation. The Journal of Real Estate Finance and Economics provides a forum for the publication of this research. Coverage includes urban economics, housing, regional science and public policy.
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