304357 (v.2) Property Risk Management 560



 

Area:School of Economics and Finance
Contact Hours:3.0
Credits:25.0
Lecture:1 x 3 Hours Weekly
Prerequisite(s):6878 (v.3) Property Finance 550 or any previous version
AND
6879 (v.3) Income Property Analysis 550 or any previous version
Major sources of property risks and the strategies used to minimise those risks. Going beyond the management of single asset or project risk to cover portfolio risks. Risk minimisation strategies are described in a national and international context. Appropriate algorithms and software are taught and utilised by students.

 

 

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