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Real estate portfolio management model
This paper presents a model for real estate portfolio management that is built upon unique features of real estate assets and the market they trade on. Main focus of the suggested model is set on three major ways of real estate investment direct, indirect through real estate investment trusts and funds, and by using real estate based derivatives. This study is based on specifying common financial indicators and research methods, namely using modified Value At Risk (mVaR) for core portfolio risk…
