Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /

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Bibliographic Details
Main Authors: 408465 Grauer, Robert R., Hakansson, Nils H.
Format:
Subjects:
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author 408465 Grauer, Robert R.
Hakansson, Nils H.
author_facet 408465 Grauer, Robert R.
Hakansson, Nils H.
author_sort 408465 Grauer, Robert R.
collection OCEAN
description 28
first_indexed 2024-03-05T07:34:35Z
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id KOHA-OAI-TEST:381602
institution Universiti Teknologi Malaysia - OCEAN
last_indexed 2024-03-05T07:34:35Z
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spelling KOHA-OAI-TEST:3816022020-12-19T17:13:18ZGains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model / 408465 Grauer, Robert R. Hakansson, Nils H. 28PSZJBLReal estate investmentPortfolio management
spellingShingle Real estate investment
Portfolio management
408465 Grauer, Robert R.
Hakansson, Nils H.
Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title_full Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title_fullStr Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title_full_unstemmed Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title_short Gains from diversifying into real estate : three decades of portfolio returns based on the dynamic investment model /
title_sort gains from diversifying into real estate three decades of portfolio returns based on the dynamic investment model
topic Real estate investment
Portfolio management
work_keys_str_mv AT 408465grauerrobertr gainsfromdiversifyingintorealestatethreedecadesofportfolioreturnsbasedonthedynamicinvestmentmodel
AT hakanssonnilsh gainsfromdiversifyingintorealestatethreedecadesofportfolioreturnsbasedonthedynamicinvestmentmodel