Assessing Real Estate Risk - Applied Models, Concepts, Methods / Nejlevnější knihy
Assessing Real Estate Risk - Applied Models, Concepts, Methods

Kód: 04844603

Assessing Real Estate Risk - Applied Models, Concepts, Methods

Autor Nicole Lux

The book can be seen as an inter-disciplinary approach to analyse real estate risk using quantitative and qualitative methods. It presents essential concepts, principles, and tools for the analysis of commercial real estate in the ... celý popis


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Anotace knihy

The book can be seen as an inter-disciplinary approach to analyse real estate risk using quantitative and qualitative methods. It presents essential concepts, principles, and tools for the analysis of commercial real estate in the areas of real estate equity, debt and derivative instruments. In addition, it bridges the gap between the pure quantitative financial modeller and the professional analyst. It provides financial modelling for real estate debt, equity and derivates to underpin investment and credit decisions. - comprehensive analysis guidelines for real estate equity and debt instruments and investments - working examples how to use models and analysis tools - integrated excel/ VBA examples - introduction to key financial ratios and probability models The print version of this book has an accompanying CD of downloadable models. The ebook includes spreadsheets. Key benefits - Learn to use quantitative models in real estate analysis: All necessary Excel/VBA techniques are explained. - Learn to use qualitative concepts in risk models: score card model explained - In-depth guide to real estate equity analysis: Key financial ratio analysis for real estate, working examples - Learn how to build a cash flow model for real estate investments: excel step-by step guide and working example - Learn how to build probability of default models: Step by step guide to build Monte Carlo simulation model - Learn how to assess and model risk in different loan structures - Learn to distinguish between credit and market risk and the tools used to analyse these risks - Also, CFA (Chartered Financial Analyst) Institute has approved this publication for 9 CE credits for its voluntary Continuing Education Program.

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