- ISBN 10: 0198742924
- ISBN 13: 9780198742920
This is one of the very few titles on a very important topic, finding risk management solutions for real-estate markets. The book combines facts and intuition with robust financial techniques. The book is written for the upper undergraduate and postgraduate level and it assumes basic knowledge in statistics and financial modelling. Throughout the book there is a clear link to real-data and applications. It covers commercial real-estate, housing real-estate,mortgages, securitization issues, and equity release mortgages. While there is a clear focus on the US and the UK, other markets such as Germany, France, Hong Kong, Korea, Singapore, and Australia are alsomentioned.
- Publisher: Oxford University Press,
- Language: Eng English
- Format: print
- Edition: 1
- Dimensions: xx, 253 pages : illustrations ; 24 cm.
- Date Published: 2017
- Authors: Tunaru, Radu (author.)