Results 21 to 30 of about 7,446 (197)
U.S. REITs: A Financial Economics Review as of 2018
The U.S. Real Estate Investment Trust (REIT) sector, since its inception in the 1960s, has been witness to continuous evolution. The numerous events that have characterized its growth and its actual structure over time have made this sector an object of ...
Coletta Cuono Massimo, Busato Francesco
doaj +1 more source
Random walks and market efficiency: evidence from real estate investment trusts (REIT) subsectors
This paper investigates the random walk behavior of real estate investment trust (REIT) subsectors using monthly return data from January 1994 to July 2015.
Fahad Almudhaf, Andrew J. Hansz
doaj +1 more source
On the Hybrid Nature of REITs [PDF]
The consensus that emerges from the current research on the linkage between securitized and direct investment in real estate is that direct (private) real estate returns play a relatively minor role in the real estate investment trust (REIT) return ...
Boudry, Walter I. +3 more
core +2 more sources
During the first decade of the 21st century, institutional reforms were carried out in Mexico to promote the creation of financial entities in the stock market to raise funds for a growing real estate sector.
Brice Barois, Leïly Hassaine-Bau
doaj +1 more source
This paper investigates the factors that can influence the Real Estate Investment Trust (REIT)’s performance, paying particular attention to the listed REIT’s in Asian. Samples of 45 Asian listed REITs are selected from five different ...
Nor Edi Azhar Binti Mohamad +1 more
doaj +1 more source
DRIVERS OF CAPITAL STRUCTURE IN MALAYSIA REAL ESTATE INVESTMENT TRUST FUNDS (M-REITs)
This study investigates drivers of capital structure decisions of Malaysian Real Estate Investment Trust Funds (M-REITs) using 121 observations from 15 REITs companies listed in the Bursa Malaysia during 8 years study period of 2011 to 2018.
NORHUDA ABDUL RAHIM +2 more
doaj
ESG Assurance and Dividends: Evidence From 18 Countries in Africa
ABSTRACT This study examines the impact of environmental, social and governance (ESG) assurance on a firm's dividend payout policies within the unique African context. Using a staggered difference‐in‐differences (DiD) model, this study examines how voluntary third‐party assurance of ESG reports influences firms' dividend payout policies compared to ...
Samuel Karanja Kogi, June Cao
wiley +1 more source
A Deep Learning Framework for Forecasting Medium‐Term Covariance in Multiasset Portfolios
ABSTRACT Forecasting the covariance matrix of asset returns is central to portfolio construction, risk management, and asset pricing. However, most existing models struggle at medium‐term horizons, several weeks to months, where shifting market regimes and slower dynamics prevail.
Pedro Reis, Ana Paula Serra, João Gama
wiley +1 more source
Housing as the Fifth Pillar of the Welfare State: Why Spain Needs Structural Reform
Abstract Spain's ongoing housing crisis reflects the cumulative effects of fragmented governance, underinvestment and financialisation. Despite recent reforms, structural challenges persist, threatening affordability and social inclusion. This article diagnoses the roots of Spain's housing failures, explores pathways for systemic reform and argues that
Montserrat Pareja‐Eastaway
wiley +1 more source
In 2018, a group of tenants from four high-rise apartment buildings in East Hamilton, Ontario, Canada, launched a seven-month rent strike against their landlord, a real estate investment trust (REIT).
Emily Power, Bjarke Skærlund Risager
doaj +1 more source

