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The Risk-Return Behavior of Real Estate Mezzanine Investment (REMI) – The Singapore Experience Journal article
HO, D.K.M., Cuervo, J. C.. The Risk-Return Behavior of Real Estate Mezzanine Investment (REMI) – The Singapore Experience[J]. Journal of Economics and Public Finance, 2020, 65-89.
Authors:  HO, D.K.M.;  Cuervo, J. C.
Favorite |  | Submit date:2022/08/31
REMI (real estate mezzanine investment)  Binomial asset tree (BAT) model  Real estate and capital markets risk  Financial LTV ratio risk  bank’s senior debt  Direct real estate asset