From the Publisher
Including 28 readings of historical interest and state- of-the-art studies, this unique book presents a selection of classic articles that emphasize the application of modern finance theory to pertinent real estate topics.
From the Back Cover
Key Benefit: Filling a significant void in the real estate book market, this exceptionally practical guide presents 33 readings of historical interest and state-of-the-art studies to provide readers with a synthesis of financial theory and its application in a variety of real estate topics. Key Topics: Contains up-to-date coverage of today's hottest real estate topics with articles delving into such areas as mortgage-related securities, real estate investment performance, real estate portfolio management, and real estate decision models. Fully integrates finance theory and real estate topics, providing a modern synthesis of financial theory and its application in such areas as asset valuation, portfolio theory, derivative assets, and inflation. Offers extensive real-life material and information, presenting results of empirical research on real estate returns, real estate diversification effects, and hedging effectiveness. Market: For real estate professionals interested in how financial theories apply to today's real estate issues.
