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학술저널

부동산투자와 포트폴리오이론의 접근방법

Approach in Connection with Real Estate Investment and Portfolio Theory

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1. CONTENTS (1) RESEARCH OBJECTIVES This thesis is to characterize the formulation of investors wealth through the managed portfolios of the real estate assets. (2) RESEARCH METHOD This study adopted the existing theoretical literature review. (3) RESEARCH FINDINGS Investments in the managed portfolios of real estate assets supply the investors with payoffs without their making the efforts to screen and select the individual real estate assets such as lands, apartments, and houses. 2. RESULTS Investors with no appropriate expertise in investment technology may face the excessive possible risk to be caused by their own activities of performing asset allocation among real estate assets. On the other hand, the managed portfolios to be invested in may reduce a lot of risk to be borne owing to the lack of a perfect understanding of the capital markets behavior including the real estate markets. Legal aspects concerning the investment in real estate are examined and analyzed in this thesis in terms of risk reduction.

Ⅰ. 서론

Ⅱ. 선행연구

Ⅲ. 부동산 포트폴리오의 기초이론

Ⅳ. 부동산 포트폴리오이론의 접근방법과 투자효과

Ⅴ. 결론

(abstract)

(참고문헌)

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