基于MCDM的欧盟与非欧盟国家房地产投资评估

Seyit Ali Erdogan, A. Naumčik
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引用次数: 1

摘要

房地产投资是一个分区问题,因为房地产市场与经济发展密切相关,房地产市场的趋势被认为是整个国家经济趋势的指标。本文的目的是分析房地产投资的主要方面和注意事项,评估不同欧盟和非欧盟国家的房地产投资情况,并介绍MCDM方法,可用于选择投资房地产的国家。认为在投资房地产时,必须考虑到政治、社会、经济、环境等各种因素。分析了欧盟国家(立陶宛、罗马尼亚、英国)和非欧盟国家(土耳其、中国、俄罗斯)房地产投资的不同风险和机会。MCDM方法适用于评估哪些国家对房地产投资最具吸引力。topsis和ARAS方法可用于在选择投资地点时评估各州作为备选方案
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Evaluation of investing in real estate in EU and non-EU countries based on MCDM
Investment in real estate is a zoning issue as the real estate market is closely related to economic development and trends in real estate market are considered to be indicators of trends in the whole economy of the country. The goal of this paper is to analyse the main aspects and considerations when investing in real estate, evaluate investment in real estate situation in different EU and non-EU countries and introduce MCDM methods that could be used for selecting a state for investment in real estate. It is identified that when investing in real estate various political, social, economic, environmental and other factors have to be taken into consideration. Analysed examples of EU (Lithuania, Romania, UK) and non-EU (Turkey, China, Russia) countries show different risks and opportunities for investments in real estate. MCDM methods are applicable to evaluate which countries are most attractive for investment in real estate. Described TOPSIS and ARAS methods could be used for assessing states as alternatives when selecting where to invest
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