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The Journal of Portfolio Management ,Special Real Estate Issue 2021, Vol.47 ,issue.(10)

[發布日期]:2022-01-14  [浏覽次數]:

目錄

INTRODUCTION: Resilient Real Estate
作品簡介:彈性房地産
Three Decades of Global Institutional Investment in Commercial Real Estate
三十年的全球機構投資商業地産
Tokenization—The Future of Real Estate Investment?
Tokenization-The房地産投資的未來?
Reexamining the Real Estate Quadrants
重新審視房地産象限
Climate Risk and Real Estate Prices: What Do We Know?
氣候風險和房地産價格:我們知道什麼?
Global Risk Premiums on Direct Office Real Estate Returns
全球風險溢價直接辦公室房地産回報
Private Equity Real Estate Fund Performance: A Comparison to REITs and Open-End Core Funds
私募股權房地産基金業績:相比,房地産投資信托基金和開放式核心基金
Investment Performance of US High-Yield Real Estate Debt: An Empirical Analysis
美國高收益房地産債務投資業績:實證分析
Who Gains from Place-Based Tax Incentives? Exploring Apartment Sales Prices in Qualified Opportunity Zones
誰從基于地點的稅收激勵中獲益? 探索合格機會區的公寓銷售價格
Portfolio Upside and Downside Risk—Both Matter!
投資組合的上行和下行風險既包括物質!

原文鍊接:https://jpm.pm-research.com/content/47/10

翻譯:有道翻譯
整理者:楊璐



上一條:Journal of Urban Economics,Volume 128,March 2022 下一條:Journal of Money,Credit and Banking, 2021年第7期

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