Loan Risk Management of Commercial Real Estate Debt Funds
暫譯: 商業不動產債務基金的貸款風險管理

Hammel, Wilhelm

  • 出版商: Springer Gabler
  • 出版日期: 2025-10-02
  • 售價: $2,230
  • 貴賓價: 9.8$2,185
  • 語言: 英文
  • 頁數: 143
  • 裝訂: Quality Paper - also called trade paper
  • ISBN: 3658489111
  • ISBN-13: 9783658489113
  • 相關分類: 投資理財 Investment
  • 無法訂購

相關主題

商品描述

This open-access publication examines the organisational mechanisms that enable the commercial real estate industry to better withstand economic headwinds and more quickly recover from downturns. With geographic focus on the United Kingdom and Germany, it sheds light on the alternative lending space and explores how debt funds prepare to weather economic turbulence by adopting effective loan risk management practices. Given the significant market share of debt funds and their potential for future growth, the insights provided by industry experts into this rather opaque sector are pertinent and satisfy an urgent need.

The publication derives key success factors for effective loan risk management from experience and distils them for practical application. It investigates the corporate structures, processes, cultures and relationships of debt funds. Particular focus falls on the operational practices of loan risk management, and the human resources and infrastructural requirements for success. The findings that are presented are relevant to practitioners, market analysts and academic researchers alike.

商品描述(中文翻譯)

這本開放存取的出版物探討了使商業不動產產業能夠更好地抵禦經濟逆風並更快從衰退中恢復的組織機制。該出版物以英國和德國為地理重點,揭示了替代貸款領域,並探討了債務基金如何通過採用有效的貸款風險管理實踐來準備應對經濟動盪。考慮到債務基金在市場中佔有的重要份額及其未來增長的潛力,業界專家對這個相對不透明的領域所提供的見解是相關的,並滿足了迫切的需求。

該出版物從經驗中提煉出有效貸款風險管理的關鍵成功因素,並將其提煉為實用應用。它調查了債務基金的企業結構、流程、文化和關係。特別關注貸款風險管理的操作實踐,以及成功所需的人力資源和基礎設施要求。所呈現的研究結果對從業者、市場分析師和學術研究者均具有相關性。

作者簡介

Wilhelm Hammel is a management consultant and a part-time administrative professor at HAWK University of Applied Sciences and Arts in Holzminden, Germany. His work integrates academic research with extensive industry experience in commercial real estate, specialising in risk management and financial restructuring.

作者簡介(中文翻譯)

威廉·哈梅爾是一位管理顧問,同時擔任德國霍爾茨敏登應用科學與藝術大學的兼任行政教授。他的工作將學術研究與在商業不動產領域的豐富行業經驗相結合,專注於風險管理和財務重組。