METHODOLOGY OF MANAGING THE REAL ESTATE PORTFOLIO CONSISTING OF OWN CAPITAL AND BANK ASSETS
The previous financial world crisis started in the USA with mortgage derivatives crisis made the whole world community realize the risky interrelation between the dynamics of real estate markets and global financial market. Amongst the reactions on crisis there were the raising of capital adequacy r...
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| Main Authors: | , , |
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| Format: | Article |
| Language: | Russian |
| Published: |
Government of the Russian Federation, Financial University
2015-12-01
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| Series: | Управленческие науки |
| Subjects: | |
| Online Access: | https://managementscience.fa.ru/jour/article/view/41 |
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