Author:
Adair A.S.,Berry J.N.,McGreal W.S.
Abstract
Reviews institutional decision making and the role of property within a
multi‐asset portfolio. Discusses diversification strategies by sector
and region as a means of reducing or managing risk. Indicates the
mismatch that can occur between the perception of risk, current market
performance and targeting of investment activity by sector. Geographical
diversification is apparent by region but not by subregion in the UK. In
contrast investment into European markets is weak with particular
concerns relating to currency fluctuations, taxation, lease structures
and asset pricing.
Subject
Polymers and Plastics,General Environmental Science
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