投资组合背景下的市场周期风险:来自英国商业房地产市场的理论与实证估计
Marketing Period Risk in a Portfolio Context: Theory and Empirical Estimates from the UK Commercial Real Estate Market
Journal of Real Estate Finance and Economics · 2007
被引 64
ABS 3
- Shaun A. Bond 通讯
- Soosung Hwang
- Zhenguo Lin
- Kerry D. Vandell
房地产金融投资组合管理金融经济学市场风险