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内容推荐 《英国房地产市场波动性和风险相关研究:英文》由王业辉著 目录 Chapter 1 Introduction-Understanding Housing Volatility 1.1 The Nature of the Problem 1.2 Chapter 2:Endogenous UK Housing Cycles and the Risk Premium 1.3 Chapter 3:Macro Stabilisation and Household Indebtedness 1.4 Chapter 4:Spatial House Prices and the Role of Mortgage Debt 1.5 Chapter 5:Conclusion and Policy Implications Chapter 2 Endogenous UK Housing Cycles and the Risk Premium:Understanding the Next Housing Crisis 2.1 Introduction 2.2 Key Data 2.3 Literature Review 2.4 The Standard Model and the Implications for Policy 2.5 Theory of the Expected Utility Model 2.6 Simulation Design and Results 2.7 Concluding Remarks 2.8 Appendix …… |