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A Study on Real Estate Cycles and Relevant Issues in the Global Financial Crisis

机译:全球金融危机中的房地产周期及其相关问题研究

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Faced with the shocks of the current global financial crisis, this study examines the nature of real estate cycles, identifies the many different types of interdependent cycles that affect real estate performance and presents strategies for dealing with multiple interrelated cycles. Understanding the complex and dynamic macro-to-micro cycle relationships is believed to be the foundation for understanding real estate performance in a specific market, submarket and site-specific location. Successful cycle strategies that achieve above-market returns over the long run are dependent on this understanding, good market timing and a degree of contrarianism. And then seven cycle models are presented, to seek to measure cyclical impacts on key investment variables in an ex ante framework, to put forward the key strategic and decision implications for investors.
机译:面对当前全球金融危机的冲击,本研究检查了房地产周期的性质,确定了影响房地产绩效的许多不同类型的相互依赖的周期,并提出了应对多个相互关联的周期的策略。理解复杂的动态宏观-微观循环关系被认为是了解特定市场,子市场和特定地点的房地产表现的基础。成功的周期策略能够长期获得高于市场的回报,这取决于这种理解,良好的市场时机和一定程度的逆势。然后提出了七个周期模型,以试图在事前框架中衡量对关键投资变量的周期性影响,从而提出对投资者的关键战略和决策意义。

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