The Application of Modern Portfolio Theory to Real Estate: A Brief Survey
Author:
Publisher
Springer US
Link
http://link.springer.com/content/pdf/10.1007/978-0-387-77439-8_29
Reference130 articles.
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3. Benjamin, J.D. Sirmans, G.S., Zietz, E.N., “Returns and Risk on Real Estate and Other Investments: More Evidence.” Journal of Real Estate Portfolio Management 7 (2001):183–214
4. Bond, S.A., Patel, K., “The Conditional Distribution of Real Estate Returns: Are Higher Moments Time Varying?” Journal of Real Estate Finance and Economics 26 (2003):319–339
5. Booth, P.M., “Real Estate Investment in an Asset/Liability Modeling Context.” Journal of Real Estate Portfolio Management 8 (2002):183–198
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