图书简介
This Companion provides a cutting edge and authoritative overview of the real estate asset class and the main actors in the industry. The Companion focuses on the current academic research and its relevance for practical applications.
The book is divided into six parts, each containing specially written chapters by international experts in the relevant field. The contributors introduce the different real estate investment sectors, before providing an institutional overview of the asset class and investment vehicles.
This Companion provides a comprehensive reference for students, academics and professionals studying, researching and working in real estate investment, finance and economics.
Introduction: An International Overview of Real Estate Market Robin Goodchild, Jacques Gordon and Eamon D?Arcy Part I: The Institutional Context 1. Types of Real Estate Assets and Investment Vehicles 2. Regulations of Managers and Investment Vehicles Bertram Steininger, Richard Green and Ong Seow Eng 3. Importance of Real Estate Assets and Portfolio Composition of Managed Vehicles Graeme Newell, Robin Goodchild, Stan McGreal, Bertram Steininger 4. Real Estate Banking Colin Lizieri, Bob Edelstein, Richard Green and Simon Stevenson 5. Supply of Investable Buildings Richard Barkham, Stuart Lipton, Craig Watkins, Colin Jones Part II: The Players ? Investors, Managers and Intermediaries 6. Real Estate Investors and their Investment Objectives Robin Goodchild, Graeme Newell and Ramon Sotelo 7. Investment Objectives and Real Estate Returns Shaun Bond, Peter Byrne and Colin Lizieri 8. Fund Managers Robin Goodchild, David Parker and Eamonn D?Arcy 9. Agents and Brokers Richard Green, Pat McAllister and Bob Edelstein Part III: Real Estate Appraisal and Performance Measurement 10. Appraisals and their Importance for Real Estate Investments Neil Crosby, Norman Hutchison and Yu Shi Ming 11. Appraisal Based Indices Bryan MacGregor, Ian Cullen and Neil Crosby 12.Transaction Based Indices Billy McCluskey, Chau K W, K Wong Part IV: Prices 13. Pricing Models Colin Lizieri, Bryan MacGregor, Rainer Schulz and Yuan Zhao 14. Option Theory Sing Tien Foo, Bryan MacGregor, Rainer Schulz, Charles Ward and Si Zhou 15. Behavioral Finance Colin Lizieri, Sotiris Tsolacas and Michael White Part V: Portfolio and Risk Management 16. Role of Real Estate in a Mixed-Asset Portfolio Ian Cullen, Peter Byrne, Simon Stevenson and Sotiris Tsolacas 17. Risk Management Shaun Bond and Simon Stevenson 18. Evaluation of Fund Manager Performance Yuan Zhao and Si Zhou 19. Fund Management and Governance Ian Cullen, Charles Ward, Pat McAllister and Ong Seow Eng Part VI: Real Estate and Financial Economics 20. Innovations and Future Direction of Research Bryan MacGregor, Rainer Schulz, Richard Green and Graeme Newell
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