Real Estate Investing Market Analysis, Valuation Techniques, and Risk Management için kapak resmi
Real Estate Investing Market Analysis, Valuation Techniques, and Risk Management
Başlık:
Real Estate Investing Market Analysis, Valuation Techniques, and Risk Management
Yazar:
Manganelli, Benedetto. author.
ISBN:
9783319063973
Fiziksel Niteleme:
VII, 210 p. 59 illus. online resource.
İçindekiler:
1 The real estate market -- 2 The market research -- 3 Financing -- 4 The real estate investment -- 5 Investors and investment strategies.- 6 Investment evaluation -- 7 The risk analysis -- 8 The theory of real options in real estate.
Özet:
This book describes in full the major approaches used to evaluate investment in real estate and shows how theory informs decision-aid methods and tools to support such evaluation. The inclusion of numerous examples makes it also a practical guide to assessing the suitability of an investment property. The first part of the text is devoted to an analysis of the housing market through the study of micro- and macroeconomic variables influencing supply and demand, with illustration of how these two components of the market interact. Special attention is given to market research and other preparatory activities able to influence the outcome of the investment. In fact, the quality of the parameters used for the evaluation depends on these activities. The final chapters describe the valuation techniques and highlight their essential features, limitations and potential in relation to ability to manage the investment risk. The book is aimed at graduates who wish to deepen their study of the real estate market and of the methods used to support investment decisions in real estate but also at professionals and managers of companies operating in the real estate market.