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Economics / Asset allocation / Modern portfolio theory / Investment management / Diversification / Hedge fund / Real estate investing / Private equity / Portfolio / Financial economics / Investment / Finance


Morgan Stanley Real Estate Investing Views from the Observatory Real Estate Portfolio Risk Management and Monitoring By: Paul Mouchakkaa, Executive Director, Morgan Stanley Investment Management
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Document Date: 2015-01-08 11:33:11


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File Size: 1,06 MB

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LTV / Barclays / HFR Inc. / Morgan Stanley / /

Continent

Asia / North America / Europe / Africa / /

Country

United States / Australia / /

Currency

USD / /

Facility

Stable Source / /

IndustryTerm

real estate allocation / real estate / real estate return front / real estate quadrant / real estate risk management / retail / real estate investors / real estate industry / respective real estate portfolios / risk management / rubber / real estate exposure / real estate capital deployment / finance / /

MarketIndex

FTSE Global Equity / NCREIF Property / Dow 30 / /

Organization

Return Per Unit / Return Per Total Return Deviation Unit of Risk2 Asset Class Real Estate / National Aeronautics and Space Administration / /

Person

Returns Growth / Marco Polo / Job Growth / Harry Markowitz / Paul Mouchakkaa / Kohoutek / /

Position

manager / pension fund / investment manager / single investment manager / Executive Director / Manager / manager Investors / astronomer / Director / Morgan Stanley Investment Management / Private / /

Region

Latin America / Far East / /

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