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The risks of investing in the real estate markets of the asian region

机译:投资亚洲地区房地产市场的风险

摘要

The Asian region has become a focus of attention for investors in recent years. Due to the strong economic performance of the region, the higher expected returns in the area compared with Europe and the USA and the additional diversification benefits investment in the region would offer. Nonetheless many investors have doubts about the prudence of investing in such areas. In particular it may be felt that the expected returns offered in the countries of the Asian region are not sufficient to compensate investors for the increased risks of investing in such markets. These risks can be categorised into under four headings: investment risk, currency risk, political risk, and institutional risk. This paper analyses each of these risks in turn to see if they are sufficiently large to deter real estate investment in the region in general or in a particular country.
机译:近年来,亚洲地区已成为投资者关注的焦点。由于该地区强劲的经济表现,与欧洲和美国相比,该地区的预期收益更高,并且该地区还将提供更多的多元化收益投资。但是,许多投资者对在这些领域进行投资的谨慎性表示怀疑。特别是,可以感觉到,亚洲区域国家提供的预期收益不足以补偿投资者对在此类市场投资的增加风险。这些风险可分为四个类别:投资风险,货币风险,政治风险和机构风险。本文依次分析了每种风险,以确定它们是否足够大,足以阻止整个地区或特定国家的房地产投资。

著录项

  • 作者

    Lee Stephen;

  • 作者单位
  • 年度 2001
  • 总页数
  • 原文格式 PDF
  • 正文语种 {"code":"en","name":"English","id":9}
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