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Real Estate Financial Analytics

via GetSmarter

Overview

Discover the power of utilizing quantitative analytical techniques and financial modeling to make informed decisions and assess risks in real estate investments.

On completion of this course, you’ll walk away with: The skills to use quantitative techniques and financial modeling to understand real estate price dynamics. Insight into leveraging investment flexibility to manage and take advantage of uncertainty. The ability to interpret Monte Carlo simulation analysis to determine risk and return in real estate investment decisions. Statistical analysis techniques to inform real estate investment decision making, and the knowledge to assess the financial viability of residential and commercial investments. Unlimited access to edX’s Career Engagement Network, offering you exclusive resources and events to support your professional journey and drive your career forward.

Syllabus

  • Orientation module: Welcome to your Online Campus
  • Module 1: Real estate price dynamics
  • Module 2: Tracking real estate prices: Indexes and performance
  • Module 3: The forecast is ‘always’ wrong
  • Module 4: Simulation modeling for real estate investment
  • Module 5: Valuing flexibility in real estate
  • Module 6: The real estate financial analytics frontier: The case of index-based derivatives

Taught by

David Geltner

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