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Routledge Companion to Real Estate Investment / edited by Bryan D. MacGregor, Rainer Schulz and Richard K. Green.
- Format:
- Book
- Series:
- Routledge handbooks
- Language:
- English
- Genre:
- Electronic books.
- Physical Description:
- 1 online resource (358 pages) : 47 illustrations, text file, PDF
- Edition:
- First edition.
- Place of Publication:
- Boca Raton, FL : Routledge, 2018.
- System Details:
- text file
- Summary:
- Real estate represents an increasingly significant global asset class and its distinctive characteristics must be understood by investors and researchers. The Routledge Companion to Real Estate Investment provides an authoritative overview of the real estate asset class. The Companion focuses on the current academic research and its relevance for practical applications. The book is divided into four parts, each containing specially written chapters by international experts in the relevant field. The contributors cover the institutional context for real estate investment, the main players in real estate investment, real estate appraisal and performance measurement, and real estate portfolios and risk management. This Companion provides a comprehensive reference for students, academics and professionals studying, researching and working in real estate investment, finance and economics.
- Contents:
- 1. Introductionto real estate investment
- PART I: THE INSTITUTIONAL CONTEXT
- 2: An international overview of real estate markets: similarities and differences
- 3: Regulation of managers and investment vehicles
- 4: Banking and real estate
- 5: Supply of investable buildings
- PART II: THE PLAYERS
- 6: Fund managers
- 7: Real estate agents and brokerage
- PART III: REAL ESTATE APPRAISAL AND PERFORMANCE MEASUREMENT
- 8: Valuations and their importance for real estate investments
- 9: Appraisal-based indices
- 10: Transaction-based indices
- PART IV: PORTFOLIO AND RISK MANAGEMENT
- 11: Pricing models
- 12: Real options in real estate
- 13: Behavioural real estate finance
- 14: Commercial real estate investment in a portfolio of risky assets
- 15: Risk management
- 16: Evaluation of fund manager performance
- 17: Fund management and governance
- Index.
- Notes:
- Includes bibliographical references and index.
- Other Format:
- Print version:
- ISBN:
- 9781315775579
- OCLC:
- 1076878415
- Access Restriction:
- Restricted for use by site license.
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