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Journal of real estate finance and economics. 2007;34(4):447-461. doi: 10.1007/s11146-007-9022-1 Q22.12025

Marketing Period Risk in a Portfolio Context: Theory and Empirical Estimates from the UK Commercial Real Estate Market

投资组合背景下的营销周期风险:理论与来自英国商业地产市场的实证估计

Shaun A. Bond; Soosung Hwang; Zhenguo Lin; Kerry D. Vandell

DOI: 10.1007/s11146-007-9022-1

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期刊名:Journal of real estate finance and economics

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ISSN:0895-5638

e-ISSN:1573-045X

IF/分区:2.1/Q2

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Marketing Period Risk in a Portfolio Context: Theory and Empirical Estimates from the UK Commercial Real Estate Market