Risk in Real Estate

eBook (PDF), 138 Pages
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This thesis serves as master proof for the ‘Master of Science program Accounting and Finance’ at the ‘Open University Netherlands, School of Management’. The subject of this thesis is to improve the risk measurement of investing in real estate assets. The outcome is a model through which risk can be measured on an asset level. Because such a model is currently not available it is not possible to put real estate into an overall portfolio risk framework like VaR and as such confirm its role as a mature institutional asset class. The lack of such model also puts a strain on making, quantitative, real estate portfolio decisions.
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Product Details

Ruud Roosen
October 1, 2011
File Format
File Size
983.74 KB

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Required Software Any PDF Reader, Apple Preview
Supported Devices Windows PC/PocketPC, Mac OS, Linux OS, Apple iPhone/iPod Touch... (See More)
# of Devices Unlimited
Flowing Text / Pages Pages
Printable? Yes
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