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Real Estate Portfolio Analysis Using a Spreadsheet Optimizer

Real Estate Portfolio Analysis Using a Spreadsheet Optimizer Discusses a spreadsheet tool called an “optimizer” which is useful for examining certain real estate investment problems. Describes what this tool is (a means of, for example, maximizing return while minimizing risk) and how it functions, giving examples of calculations and functioning. Concludes that such a tool is potentially powerful, but that formulae could easily be set up incorrectly. Adds that spreadsheets and manuals do not contain enough documentation for beginners to understand results fully. http://www.deepdyve.com/assets/images/DeepDyve-Logo-lg.png Journal of Property Finance Emerald Publishing

Real Estate Portfolio Analysis Using a Spreadsheet Optimizer

Journal of Property Finance , Volume 5 (4): 13 – Dec 1, 1994

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References (6)

Publisher
Emerald Publishing
Copyright
Copyright © 1994 MCB UP Ltd. All rights reserved.
ISSN
0958-868X
DOI
10.1108/09588689410080266
Publisher site
See Article on Publisher Site

Abstract

Discusses a spreadsheet tool called an “optimizer” which is useful for examining certain real estate investment problems. Describes what this tool is (a means of, for example, maximizing return while minimizing risk) and how it functions, giving examples of calculations and functioning. Concludes that such a tool is potentially powerful, but that formulae could easily be set up incorrectly. Adds that spreadsheets and manuals do not contain enough documentation for beginners to understand results fully.

Journal

Journal of Property FinanceEmerald Publishing

Published: Dec 1, 1994

Keywords: Computer software; Optimization; Return on investment; Risk

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