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— Ross, Stephen A., and Randall C. Zisler. "Risk and return in real estate." Journal of Real Estate Finance & Economics 4.2 (1991).
A Comparative Anatomy of REITs and Residential Real ...University College Dublin
www.ucd.ie
and Randall C. Zisler 1991, Risk and return in real estate, The Journal of Real. Estate Finance and Economics, 4, Scholes ...
A STUDY ON EFFECT OF RERA ON REALTY SECTOR ...Iaeme.com
iaeme.com
Stephen A. Ross & Randall C. Zisler, Risk and Return in Real Estate, Journal of Real Estate. Finance and Economics, 4: (1991.
Asset allocation versus entrepreneurial decisions in real ...TU Darmstadt
www.real-estate.bwl.tu-darmstadt.de
von S Armonat · · Zitiert von: 13 — and Randall C. Zisler “Risk and return in real estate.” Journal of Real Estate Finance and. Economics, 4 (1991), pp
DEAR LANDLORD - JScholarshipJohns Hopkins University
jscholarship.library.jhu.edu
von PME Garboden · — Ross, Stephen A. and Randall C. Zisler “Risk and Return in Real Estate.” The. Journal of Real Estate Finance and Economics 4(2):175–90.
DISCUSSION PAPER SERIES - CEPRCEPR
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von L Pelizzon · · Zitiert von: 87 — Markowitz, Harry (1992) Mean Variance Analysis in Portfolio Choice and Capital. Markets, Oxford: Basil Blackwell. Ross, Stephen A. and Randall C. Zisler (1991) ...
Hedging Portfolios with Real AssetsHarvard University
scholar.harvard.edu
Ross, Stephen A., and Randall C. Zisler. “Risk and Return in Real. Estate.”Joirrnal ofReal Estate Finance and Economics, Vol. 4 (1991).
Property derivative price dynamic and statistical featuresArchive ouverte HAL
theses.hal.science
von PA Drouhin · — Firstenberg, Paul M., Stephen A. Ross, and Randall C. Zisler, 1988, Real estate: the whole story, The Journal of Portfolio Management 14, ...
Real Estate Investment TrustsScribd
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Firstenberg, Paul M., Stephen A. Ross, and Randall C. Zisler Real es- tate: The whole story. Journal of Portfolio Management 14:
Risk Analysis and Portfolio ModellingDOKUMEN.PUB
dokumen.pub
von D Allen · Zitiert von: 5 — Firstenberg, Paul M., Stephen A. Ross, and Randall C. Zisler Real estate: The whole story. Journal of Portfolio. Management 14: 22–34. [CrossRef].
Risk analysis and portfolio modellingEconStor
www.econstor.eu
von DE Allen · · Zitiert von: 5 — Firstenberg, Paul M., Stephen A. Ross, and Randall C. Zisler Real estate: The whole story. Journal of Portfolio. Management 14: 22–34. [CrossRef].
SEP DSpace@MITMassachusetts Institute of Technology
dspace.mit.edu
von CP Brown · · Zitiert von: 1 — Ross, Stephen A., Randall C. Zisler: Risk and Return in Real Estate, Journal of Real Estate. Finance and Economics 1991, vol. 4.
UNCERTAINTY AND THE RATE OFReal Estate Research Institute
www.reri.org
von AS Holland · Zitiert von: 10 — Ross, Stephen A. and Randall C. Zisler Risk and Return in Real Estate, Journal of. Real Estate Finance and Economics, 4,
el riesgo de mercado y su incidencia en los portafolios deunal.edu.co
repositorio.unal.edu.co
von GA Díaz Valencia · Zitiert von: 3 — Ross y Randall C. Zisler (1991) calculan los retornos de inversión inmobiliaria de los fondos fiduciarios, para caracterizar su riesgo y el retorno como ...
portfolio allocations to real estate: another storyCornell University
ecommons.cornell.edu
von JB Corgel · · Zitiert von: 1 — Ross, and Randall C. Zisler 'Real Estate: The. |. Whole Story," Journal of Portfolio Management 14(3):
Global Research Unit Working Paper # City University of Hong Kong
www.cb.cityu.edu.hk
— and Randall C. Zisler, 1991, Risk and Return in Real Estate, Journal of Real Estate. Finance and Economics 4, Sorensen, ...
Thèse Drouhin Pierre-ArnaudUniversité Paris Dauphine-PSL
basepub.dauphine.fr
— Firstenberg, Paul M., Stephen A. Ross, and Randall C. Zisler, 1988, Real estate: the whole story, The Journal of Portfolio Management 14, ...
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