Share This Article:

Literature Review of the Research on Real Estate Financial Risk

Full-Text HTML XML Download Download as PDF (Size:628KB) PP. 876-891
DOI: 10.4236/ojbm.2019.72060    201 Downloads   447 Views
Author(s)

ABSTRACT

After a brief conceptual explanation and background introduction of real estate finance and its risks, this paper mainly focuses on the relationship between real estate price fluctuation and financial risk, real estate bubble, the formation and transmission of real estate financial risk, and the control of real estate financial risk. Several research categories were classified and related research was reviewed. In the end, it summarizes and puts forward that China’s research on real estate financial risk also has the following problems and development direction: the research on the connotation of real estate financial risk needs to be improved; the research on real estate bubble needs to be quantified; the research on risk formation needs to be deepened from the mechanism; the research on risk transmission needs to be combined with the reality of China; and the empirical research on real estate financial risk needs to be improved.

Cite this paper

Miao, Y. (2019) Literature Review of the Research on Real Estate Financial Risk. Open Journal of Business and Management, 7, 876-891. doi: 10.4236/ojbm.2019.72060.

Copyright © 2019 by authors and Scientific Research Publishing Inc.

Creative Commons License

This work and the related PDF file are licensed under a Creative Commons Attribution 4.0 International License.