Banking, Lending and Real Estate
暫譯: 銀行、貸款與不動產

Scardovi, Claudio, Bezzecchi, Alessia

  • 出版商: Routledge
  • 出版日期: 2023-05-31
  • 售價: $2,010
  • 貴賓價: 9.5$1,910
  • 語言: 英文
  • 頁數: 188
  • 裝訂: Quality Paper - also called trade paper
  • ISBN: 1032376171
  • ISBN-13: 9781032376172
  • 相關分類: 商業管理類
  • 海外代購書籍(需單獨結帳)

相關主題

商品描述

This book deals directly with the risk/return multiple trade-offs coming out of the closely intertwined relationship between banking and real estate. The authors explore how banks could embrace a more proactive approach to make the most of their, mostly 'long only', exposure to real estate, and create positive spillover effects on their real estate counterparts and the sector as a whole. It provides a "state of the art" representation and analysis of the strategies that best practices in banking are adopting to manage these issues and plan for a new set of interrelations, driving a "virtuous circle" as opposed to the current one.

Banking, Lending and Real Estate is built on the academic knowhow and professional expertise of the authors, who have been researching, writing and working on this joint topic for over a decade. With its pragmatic approach, it allows the reader to capture which leading hedge active and holistic approaches are available today and proven to treat, for example, the banks' overexposure to this asset class; to manage "unlikely to pay" and sub-performing positions; and to optimize the recovery value coming from the work out of real estate related NPL (and underlying assets). Case studies and relevant examples are provided, leveraging on the authors' experience in consulting projects in the EMEA region and from working with global, regional and domestic banks and the real estate players acting across its value chain.

This book will appeal to both academics and business practitioners within the banking, financial services and real estate sectors, as well as professionals from financial and strategic/industrial advisory working in those fields.

商品描述(中文翻譯)

這本書直接探討了銀行與房地產之間密切交織的關係所帶來的風險/回報多重權衡。作者探討了銀行如何採取更主動的方式,充分利用其主要為「長期持有」的房地產曝險,並對其房地產對手及整個行業創造正向的溢出效應。它提供了對銀行最佳實踐所採用的策略的「最先進」表現和分析,以管理這些問題並規劃一套新的相互關係,推動一個「良性循環」,而非當前的循環。

《銀行、貸款與房地產》建立在作者的學術知識和專業專長之上,這些作者在這一共同主題上已研究、撰寫和工作超過十年。透過其務實的方式,讀者可以了解當前可用的領先對沖主動和整體方法,並證明這些方法能夠處理例如銀行對這類資產類別的過度曝險;管理「不太可能支付」和表現不佳的頭寸;以及優化來自房地產相關不良貸款(NPL)及其基礎資產的回收價值。書中提供了案例研究和相關範例,利用作者在EMEA地區的諮詢項目經驗,以及與全球、區域和本地銀行及房地產參與者在其價值鏈上合作的經驗。

這本書將吸引銀行、金融服務和房地產行業的學術界和商業實務者,以及在這些領域工作的金融和戰略/產業顧問專業人士。

作者簡介

Alessia Bezzecchi is Associate Professor of Practice di Corporate Finance and Real Estate and Program Director at the Executive Master in Finance (EMF), focused on Asset/Wealth Management, Corporate Finance & Control, Banking Transformation, Real Estate Transformation at SDA Bocconi School of Management. She is also teaching professor of "capital markets" at Bocconi University and Director for the Executive Program in Real Estate Finance and Real Estate (EPFIRE)

Claudio Scardovi is a managing director and global co-head of the financial services practice for AlixPartners, a global consultancy focused on restructuring, value recovery, transformation and growth. Claudio has specialized in the financial services sector for the last 24 years, primarily (for 19 years) as managing director and country or regional head of financial services for a number of companies, including KPMG, Accenture, Intervaluenet.com, Oliver Wyman, Lehman Brothers, Nomura, Advent International and AlixPartners. He is also a professor at Bocconi University and at SDA Bocconi, specializing in capital markets, financial systems, restructuring and transformation, and for Imperial College's master's in management programme. Author of over 200 articles and papers and 17 books, Claudio is also one of the strategic advisors to the master's programme at Imperial College in London and is part of the strategic advisory board/Future of Banking for the World Economic Forum. He has also been a board member of Risanamento SpA and Consorzio AMI in Italy.

作者簡介(中文翻譯)

阿萊西亞·貝澤基是博科尼管理學院(SDA Bocconi School of Management)企業財務與不動產的實務副教授及金融高階碩士班(Executive Master in Finance, EMF)的課程主任,專注於資產/財富管理、企業財務與控制、銀行轉型及不動產轉型。她同時也是博科尼大學的資本市場教授,以及不動產金融與不動產高階課程(Executive Program in Real Estate Finance and Real Estate, EPFIRE)的主任。

克勞迪奧·斯卡多維是AlixPartners的董事總經理及全球金融服務實務的共同負責人,AlixPartners是一家專注於重組、價值回收、轉型及成長的全球顧問公司。克勞迪奧在過去24年中專注於金融服務領域,主要(19年)擔任多家公司的董事總經理及金融服務的國家或區域負責人,包括KPMG、Accenture、Intervaluenet.com、Oliver Wyman、雷曼兄弟、野村控股、Advent International及AlixPartners。他同時也是博科尼大學及SDA博科尼的教授,專注於資本市場、金融系統、重組與轉型,以及帝國學院的管理碩士課程。克勞迪奧是200多篇文章和論文及17本書的作者,也是倫敦帝國學院碩士課程的戰略顧問之一,並且是世界經濟論壇銀行未來的戰略顧問委員會成員。他還曾擔任意大利Risanamento SpA和Consorzio AMI的董事會成員。