After comprehensively analysis and comparison of the reasons of foreign real- estate financial crisis (mainly in America, Japan and Thailand), the thesis detailed analyze the current situations and causes of Chinese real-estate financial risk. On the basis of international comparison and reference, the essay goes on to put forward the relevant policy recommendations, the system of indexes on the risk- protection and the model of resolution as concerns protecting the new non- performing loans and resolving the present ones. The volume is composed of five parts. Part one: offers explicit concept of real-estate financial risk, then generally explains its causes and characters. Part two: comparatively researches the causes of foreign real-estate financial crisis (mainly in America, Japan and Thailand) and makes the comprehensive analysis and conclusion. Part three: all-roundly analyze the present conditions of Chinese real-estate financial risk indirectly on the basis of collecting and arranging the data, then reveals its special factors. Part four: systematically makes the policy recommendations of protecting the new real-estate financial risk of China and primarily sets up the protecting index system. Part five: puts forward the proposals to deal with the vacant commercial buildings and lands, then treats the model-decision to resolve the Chinese real- estate financial risk on the basis of comparing the foreign empirical experiences.
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