Purpose – The purpose of this paper is to define an approach useful to evaluate real estate funds on the specific characteristics of the Italian market and on the basis of international best practices. Design/methodology/approach – The first step is to identify specific factors and portfolio construction choices that could impact directly on the variability of inflows and outflows related to real estate fund. The analysis is realised constructing standard measures of financial and downside risk and identifying a panel model that allows to explain risk measure dynamics on the basis of some investments and portfolio characteristics. Results obtained are tested with an out of sample procedure in order to evaluate the type of misclassificatio...
Emerging Trends Europe’s survey suggests that European real estate professionals are still very pos...
Aim of the paper is to provide a novel valuation model to address risk and uncertainty in property ...
Purpose of this paper The paper compares banks specialized on real estate lending (hereinafter REBs...
Purpose – The purpose of this paper is to define an approach useful to evaluate real estate funds on...
Purpose – In real estate industry, managers’ choices in portfolio construction impact directly on th...
Purpose – Italian real estate mutual funds have shown enormous growth over the past few years, howev...
The global economic crisis and deep financialization processes recently suffered by the real estate ...
Italian real estate has become an increasingly popular investment class due to its relatively good r...
Real estate investment is different from financial investment and such difference can affect the res...
Purpose – The purpose of this paper is to compare banks specialised on real estate lending with the ...
The paper investigates portfolio risk management strategies for real estate investments in order to ...
When the future is uncertain and an investment is durable and illiquid the decision to invest at a c...
Purpose – The purpose of this paper is to compare banks specialised on real estate lending with the ...
Emerging Trends Europe’s survey suggests that European real estate professionals are still very pos...
Aim of the paper is to provide a novel valuation model to address risk and uncertainty in property ...
Purpose of this paper The paper compares banks specialized on real estate lending (hereinafter REBs...
Purpose – The purpose of this paper is to define an approach useful to evaluate real estate funds on...
Purpose – In real estate industry, managers’ choices in portfolio construction impact directly on th...
Purpose – Italian real estate mutual funds have shown enormous growth over the past few years, howev...
The global economic crisis and deep financialization processes recently suffered by the real estate ...
Italian real estate has become an increasingly popular investment class due to its relatively good r...
Real estate investment is different from financial investment and such difference can affect the res...
Purpose – The purpose of this paper is to compare banks specialised on real estate lending with the ...
The paper investigates portfolio risk management strategies for real estate investments in order to ...
When the future is uncertain and an investment is durable and illiquid the decision to invest at a c...
Purpose – The purpose of this paper is to compare banks specialised on real estate lending with the ...
Emerging Trends Europe’s survey suggests that European real estate professionals are still very pos...
Aim of the paper is to provide a novel valuation model to address risk and uncertainty in property ...
Purpose of this paper The paper compares banks specialized on real estate lending (hereinafter REBs...