The thesis aims to analyse the role that indirect real estate investments can play within a classic multi asset portfolio. The first part describes the instruments available to investors and examines the reference literature. In the second part, a model based on Markowitz portfolio theory that involves stocks, bonds and reits is developed to test the role of the real estate asset class

Portfolio management including real estate investments

Barone, Carlo
2016/2017

Abstract

The thesis aims to analyse the role that indirect real estate investments can play within a classic multi asset portfolio. The first part describes the instruments available to investors and examines the reference literature. In the second part, a model based on Markowitz portfolio theory that involves stocks, bonds and reits is developed to test the role of the real estate asset class
2016
116
real estate, mutual funds, reits
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Utilizza questo identificativo per citare o creare un link a questo documento: https://hdl.handle.net/20.500.12608/25223