Advanced REIT Portfolio Optimization

Innovative Tools for Risk Management

Svetlozar T Rachev author Yuan Hu author W Brent Lindquist author Abootaleb Shirvani author

Format:Hardback

Publisher:Springer International Publishing AG

Published:10th Nov '22

Currently unavailable, and unfortunately no date known when it will be back

Advanced REIT Portfolio Optimization cover

This book provides an investor-friendly presentation of the premises and applications of the quantitative finance models governing investment in one asset class of publicly traded stocks, specifically real estate investment trusts (REITs). The models provide highly advanced analytics for REIT investment, including:

  • portfolio optimization using both historic and predictive return estimation;
  • model backtesting;
  • a complete spectrum of risk assessment and management tools with an emphasis on early warning systems, risk budgeting, estimating tail risk, and factor analysis;
  • derivative valuation;
  • and incorporating ESG ratings into REIT investment.

These quantitative finance models are presented in a unified framework consistent with dynamic asset pricing (rational finance). Given its scope and practical orientation, this book will appeal to investors interested in portfolio optimization and innovative tools for investment risk assessment.

ISBN: 9783031152856

Dimensions: unknown

Weight: unknown

258 pages

1st ed. 2022