Property investment: portfolio modelling

被引:0
|
作者
Patrick, Michael [1 ]
French, Nick [2 ]
机构
[1] Real Estate Consultant, Oxford, England
[2] Real Estate Valuat Theurgy, Frilsham, England
关键词
Gearing; Leverage; Equity rate of return; Portfolio rate of return; Investment risk; Bank debt;
D O I
10.1108/JPIF-12-2022-0086
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
Purpose - The aim of this briefing is to look at the often overlooked impact of gearing (or leverage) on risk. The positive impact on equity return in a strong market is gained by increasing the overall risk of the investment and potentially negative impacts on returns in weak markets.Design/methodology/approach - This Education Briefing is an explanation of how the addition of individual assets to a portfolio can, with gearing, impact upon the portfolio risk/return profile.Findings - Through a simple example, this briefing shows how geared portfolios can struggle in poor markets when the servicing of the debt (at increased interest rates) can have a severe negative impact upon returns.Practical implications - The process of borrowing at a bank rate below the return rate on an investment project can increase the equity return of the project as long as all incomes and interest rate remain at appropriate levels but when incomes fall or disappear and/or interest rates rise, the implication for the assets return and/or solvency can be highly significant.Originality/value - This is a review of existing models.
引用
收藏
页码:269 / 275
页数:7
相关论文
共 50 条
  • [31] Dynamic management of the investment portfolio
    Zhabin, D. N.
    Masalova, E. A.
    Shapovalov, A., V
    [J]. TOMSK STATE UNIVERSITY JOURNAL, 2006, (290): : 158 - +
  • [32] Gold as a part of the investment portfolio
    Korena, Katerina
    Koreny, Karel
    [J]. FINANCIAL MANAGEMENT OF FIRMS AND FINANCIAL INSTITUTIONS, 2011, : 171 - 174
  • [33] IT Investment Portfolio for Mobile Office
    Lee, Jongtae
    Moon, Junghoon
    Kang, Hyounggoo
    Huang, Minghao
    Yoo, Sunggoo
    [J]. AMCIS 2012 PROCEEDINGS, 2012,
  • [34] Management of investment hybrid portfolio
    Hrytsiuk, Petro
    Babych, Tetiana
    Kardash, Oksana
    [J]. INTERNATIONAL JOURNAL OF BUSINESS PERFORMANCE MANAGEMENT, 2021, 22 (2-3) : 180 - 198
  • [35] Portfolio Investments and the Definition of Investment
    Sornarajah, M.
    [J]. ICSID REVIEW-FOREIGN INVESTMENT LAW JOURNAL, 2009, 24 (02) : 516 - 520
  • [36] Investment taxation and portfolio performance
    Bergstresser, Daniel
    Pontiff, Jeffrey
    [J]. JOURNAL OF PUBLIC ECONOMICS, 2013, 97 : 245 - 257
  • [37] Portfolio management and investment strategy
    Donald, M.
    [J]. JASSA-THE FINSIA JOURNAL OF APPLIED FINANCE, 2006, (04): : 9 - 10
  • [38] Models for portfolio of investment projects
    Naumov, Anatoly
    Gladishev, Vitaly
    [J]. WMSCI 2005: 9TH WORLD MULTI-CONFERENCE ON SYSTEMICS, CYBERNETICS AND INFORMATICS, VOL 7, 2005, : 284 - 288
  • [39] The Optimization and Evaluation of Investment Portfolio
    Bartkus, Edverdas Vaclovas
    Paleviciene , Aiste
    [J]. INZINERINE EKONOMIKA-ENGINEERING ECONOMICS, 2013, 24 (04): : 282 - 290
  • [40] The geometric way of portfolio investment
    Tu, XS
    Wang, J
    [J]. PROCEEDINGS OF THE 3RD WORLD CONGRESS ON INTELLIGENT CONTROL AND AUTOMATION, VOLS 1-5, 2000, : 1957 - 1961