Assessing Real Estate Risk – Applied Models, Concepts, Methods

Assessing Real Estate Risk - Applied Models, Concepts, Methods

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The guide might be seen as an inter-disciplinary strategy to analyse actual property danger utilizing quantitative and qualitative strategies. It presents important ideas, rules, and instruments for the evaluation of economic actual property within the areas of actual property fairness, debt and by-product devices. In addition, it bridges the hole between the pure quantitative monetary modeller and the skilled analyst. It offers monetary modelling for actual property debt, fairness and derivates to underpin funding and credit score selections.

Product Details

  • Paperback: 272 pages
  • Publisher: Euromoney Institutional Investor (September 3, 2012)
  • Language: English
  • ISBN-10: 1781370788
  • ISBN-13: 978-1781370780
  • Product Dimensions: 9.6 x 7.5 x 0.9 inches
  • Shipping Weight: 1.9 pounds
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    Assessing Real Estate Risk - Applied Models, Concepts, Methods
    Assessing Real Estate Risk - Applied Models, Concepts, Methods
    Assessing Real Estate Risk - Applied Models, Concepts, Methods
    Assessing Real Estate Risk - Applied Models, Concepts, Methods
    Assessing Real Estate Risk - Applied Models, Concepts, Methods

    Assessing Real Estate Risk - Applied Models, Concepts, Methods

    Assessing Real Estate Risk - Applied Models, Concepts, Methods