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【簡體曬書節】 單本79折,5本7折,優惠只到5/31,點擊此處看更多!
Return Patterns of German Open-End Real Estate Funds — An Empirical Explanation of Smooth Fund Returns
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Return Patterns of German Open-End Real Estate Funds — An Empirical Explanation of Smooth Fund Returns

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The aim of this study is to better understand stable capital growth of German properties and to contribute to the explanation of stable fund returns. In the course of the investigation, evidence is found that both phenomena are interrelated. All analyses are based on publicly available data; therefore they are not limited by client interests. Results show three different pieces of evidence on return smoothing, namely the influence on valuation, the timing of valuations, and the influence on returns resulting in return differences by calendar months. Together with the notion of internationally uniquely stable returns, it seems impossible to extract true asset volatility from the observed appraisal-based time series.

作者簡介

The Author: Sebastian Michael Glasner studied at the European Business School and achieved a master in business administration (Dipl. Kaufmann) with a focus on real estate and controlling in 2005. He works currently in the area of fund benchmarking.

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定價:100 3209
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(到貨天數約30-45天)

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