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Barone, Carlo (2016) Portfolio management including real estate investments. [Magistrali biennali]

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Abstract

The thesis aims to analyse the role that indirect real estate investments can play within a classic multi asset portfolio. The first part describes the instruments available to investors and examines the reference literature. In the second part, a model based on Markowitz portfolio theory that involves stocks, bonds and reits is developed to test the role of the real estate asset class

Tipologia del documento:Magistrali biennali
Parole chiave:real estate, mutual funds, reits
Settori scientifico-disciplinari del MIUR:Area 13 - Scienze economiche e statistiche > SECS-P/09 Finanza aziendale
Codice ID:51683
Relatore:Lanzavecchia, Alberto
Data della tesi:2016
Biblioteca:Polo di Scienze Sociali > Biblioteca del Dipartimento di Scienze Economiche"Marco Fanno"
Tipo di fruizione per il documento:on-line per i full-text
Tesi sperimentale (Si) o compilativa (No)?:No

Bibliografia

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