All Stories

  1. Income return versus capital appraisal for real estate funds during the financial crisis
  2. Investor attention for retail and institutional investors: a test on the real estate market
  3. Asset Pricing, Real Estate and Public Finance over the Crisis
  4. Measuring customers' portfolio concentration for rating agencies
  5. The role of portfolio diversification in the hotel industry
  6. Liquidity risk exposure for specialised and unspecialised real estate banks
  7. The relative importance of sector and regional factors in the hotel industry
  8. How to evaluate risk for Italian real estate funds
  9. New Drivers of Performance in a Changing World
  10. Risk diversification in a real estate portfolio: evidence from the Italian market