RePEcEconometrics & Forecasting
Real Estate Return and Risk Forecasting
A forecasting model for real estate stock returns and risks shows that German real estate stocks are more affected by economic and stock market changes than the real estate market, and carry less risk than regular stocks.
Featured in No. 77 on 4 Dec 2024 · on release day
- Released
- 4 Dec 2024
- First featured
- No. 77 · 4 Dec 2024
- Published in
- Not yet, as far as Semantic Scholar knows
- Shares when featured
- 13
- Identifier
- RePEc:spr:gjorer:v:10:y:2024:i:1:d:10.1365_s41056-024-00070-4
Citations and venue from Semantic Scholar (ODC-BY), refreshed weekly. Summary: Quant Letter (CC BY 4.0).