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Value Maximizing Decisions in the Real Estate Market: Real Options Valuation Approach

机译:价值最大化房地产市场中的决策:真实选择估值方法

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The real estate market of EU countries has undergone a severe global financial crisis 2008–2009, recovered successfully later, and now experiencing significant uncertainty due to the COVID-19 pandemic event. Significant volatility of the real estate business is once again evident, just as it was following the global financial crisis. The paper aims to provide a case study of a real estate project by giving insight into the Latvian real estate project that had been experiencing similar economic uncertainty, to demonstrate hybrid real options valuation (ROV) method to adapt real estate investments to changing circumstances and to develop the decision-making solution to similar EU real estate problems during the pandemic. The paper provides the “step-by-step” ROV application’s methodology in real estate development projects. The presented methodology is a powerful managerial risk management tool for the executives of similar real estate development projects in the EU countries struggling to make investment decisions in the pandemic and post-pandemic period. Since any estimation includes assumptions, ROV results should be interpreted and perceived as approximations only. The future works can provide robust ROV analyses and interpretations regarding the demand for real estate, showing quantitatively how competition can impact strategic investment decisions.
机译:欧盟国家的房地产市场经历了严重的全球金融危机2008 - 2009年,以后成功恢复,而现在由于Covid-19大流行事件而遭到重大的不确定性。房地产业务的显着波动再次明显,就像它遵循全球金融危机一样。本文旨在通过深入了解一直经历类似的经济不确定性的拉脱维亚房地产项目,向房地产项目提供案例研究,展示混合实际期权估值(ROV)方法,以使房地产投资调整到不断变化的情况和在大流行期间制定对类似欧盟房地产问题的决策解决方案。本文提供了“逐步”ROV应用程序在房地产开发项目中的方法。呈现的方法是欧盟国家类似房地产开发项目的高管的强大管理风险管​​理工具,努力在大流行和大流行期间进行投资决策。由于任何估计包括假设,因此应将Rov结果解释并被认为只为近似值。未来的作品可以提供强大的ROV分析和关于房地产需求的解释,展示竞争如何影响战略性的投资决策。

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