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Guest Editorial—German Journal of Real Estate Research: Special Issue Risk

机译:客人的编辑 - 德国房地产研究杂志:特殊问题风险

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Various issues associated with risk management in the real estate sector have beena concern in the industry for several decades. Originally, the approaches entailedsimple scoring models and essentially qualitative estimates, and now, increasinglyquantitative approaches against the background of ever-increasing data availabilitywhich ought to enhance the ability to identify potential dangers. At first glance, thecurrent record turnover and all-time highs suggest a pervasively positive picture.However, long-serving market participants are well aware that the classic real estatecycle is still with us and that the next downturn is “merely” a matter of timing.
机译:与房地产部门风险管理相关的各种问题已在该行业担心几十年。最初,该方法旨在提高评分模型和基本上的定性估计,现在,越来越多地采用越来越多的数据可用性背景的方法,应该增强识别潜在危险的能力。乍一看,TheCurrent记录的营业额和历史高度表明了一个普遍的正面的图片。但是,长期的市场参与者很清楚,经典的真正的estatecycle仍然和我们在一起,下一个经济衰退是“仅仅是”仅仅是“只是”时机的问题。

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