The definitive version is available from http://www.blackwell-synergy.comIt is reasonable to suggest that a portfolio manager with direct property diversified by sector or region is more interested in strategic than in tactical asset allocation. However, even with strategic allocations of property the portfolio manager needs a regular monitoring of the inter-relationships amongst assets comprising the portfolio to ensure that unexpected events do not ‘permanently’ alter such relationships. One procedure for ascertaining whether assets are inter-related over the long run (and therefore offer few diversification benefits) is through cointegration analysis. A difficulty with conventional cointegration analysis, however, is that it is unable to...
The thesis uses return data on equities, bonds, commodities and real estate for the U.S., Europe, A...
This paper examines the short and long-term comovements among UK regional property markets over the ...
In a property portfolio, the standard strategies for portfolio diversification and risk reduction ar...
This paper examines global property diversification benefits provided by three global regions and 14...
The benefits of property in the mixed asset portfolio has been the subject of a number of studies bo...
A considerable amount of research has appeared in the finance and economics literature on the variou...
Currently, there exists relatively little research on the influence that the 1997 Asian financial cr...
The research results presented in this paper are a subset of a more extensive investigation of asset...
This study investigates the portfolio diversification possibilities among Australian sectoral, size ...
Research studies on portfolio diversification have tended to focus on developed markets and paid les...
REIT assets have gained recognizable attention in capital markets in recent decades and their develo...
This paper examines the short and long-term comovements among UK regional property markets over the ...
This article examines claims about the diversification benefits of real estate. In particular, does ...
Purpose: To achieve long-term performance, superannuation balanced funds typically invest in a range...
© Emerald Group Publishing LimitedPurpose – Given the mixed findings in the literature, this paper a...
The thesis uses return data on equities, bonds, commodities and real estate for the U.S., Europe, A...
This paper examines the short and long-term comovements among UK regional property markets over the ...
In a property portfolio, the standard strategies for portfolio diversification and risk reduction ar...
This paper examines global property diversification benefits provided by three global regions and 14...
The benefits of property in the mixed asset portfolio has been the subject of a number of studies bo...
A considerable amount of research has appeared in the finance and economics literature on the variou...
Currently, there exists relatively little research on the influence that the 1997 Asian financial cr...
The research results presented in this paper are a subset of a more extensive investigation of asset...
This study investigates the portfolio diversification possibilities among Australian sectoral, size ...
Research studies on portfolio diversification have tended to focus on developed markets and paid les...
REIT assets have gained recognizable attention in capital markets in recent decades and their develo...
This paper examines the short and long-term comovements among UK regional property markets over the ...
This article examines claims about the diversification benefits of real estate. In particular, does ...
Purpose: To achieve long-term performance, superannuation balanced funds typically invest in a range...
© Emerald Group Publishing LimitedPurpose – Given the mixed findings in the literature, this paper a...
The thesis uses return data on equities, bonds, commodities and real estate for the U.S., Europe, A...
This paper examines the short and long-term comovements among UK regional property markets over the ...
In a property portfolio, the standard strategies for portfolio diversification and risk reduction ar...