Investing in international real estate stocks: A review of the literature

被引:68
|
作者
Worzala, E
Sirmans, CF
机构
[1] Univ San Diego, Sch Business, Real Estate Inst, San Diego, CA 92110 USA
[2] Univ Connecticut, Sch Business, Ctr Real Estate & Urban Econ Studies, Storrs, CT 06269 USA
关键词
D O I
10.1080/0042098032000074344
中图分类号
X [环境科学、安全科学];
学科分类号
08 ; 0830 ;
摘要
This paper summarises the various findings of studies completed on the benefits of international diversification using real estate stocks. With the increased availability of data and analytical tools, the quantity and variety of work over the past decade have increased dramatically in this area. The first two sections of the paper chronologically review the studies, focusing on how the diversification benefits are analysed: in a mixed-asset portfolio context or a real-estate-only portfolio context. The third section highlights work that uses alternative analyses to the traditional mean-variance framework to examine the international real estate stock as an investment alternative. Almost all of the studies reach the same conclusion: diversification gains are possible but are often reduced if currency risk is included in the analysis.
引用
收藏
页码:1115 / 1149
页数:35
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