Keywords: Bank debt
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Journal Articles
Journal of Property Investment & Finance (2023) 41 (2): 269–275.
Published: 27 February 2023
... Leverage Equity rate of return Portfolio rate of return Investment risk Bank debt An earlier Education Briefing (French and Patrick, 2021) looked at the example of a three-property portfolio to illustrate the effect of gearing on portfolio returns. This briefing develops the idea further...
Journal Articles
Journal of Property Investment & Finance (2021) 39 (6): 609–615.
Published: 15 December 2020
... can borrow 70% debt at a cost of 5% which means that our equity requirement is £10.5m (30% of £35m) and the debt is £24.5m. Gearing Leverage Equity rate of return Portfolio rate of return Investment risk Bank debt “Real estate portfolio managers conduct asset allocation and asset...
Journal Articles
Journal of Property Investment & Finance (2019) 37 (3): 323–328.
Published: 29 March 2019
... will be the same as the project return (see Table I). Nick French can be contacted at: Author@NickFrench.org.uk 04 02 2019 04 02 2019 © Emerald Publishing Limited 2019 Emerald Publishing Limited Licensed re-use rights only Leverage Bank debt Equity rate of return Gearing...

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