
FOUNDATIONS OF REAL ESTATE FINANCIAL MODELLING By Roger Staiger **BRAND NEW**
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FOUNDATIONS OF REAL ESTATE FINANCIAL MODELLING By Roger Staiger **BRAND NEW**
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eBay-Artikelnr.:326488088059
Artikelmerkmale
- Artikelzustand
- Book Title
- Foundations of Real Estate Financial Modelling
- ISBN-10
- 1138046183
- ISBN
- 9781138046184
Über dieses Produkt
Product Identifiers
Publisher
CRC Press LLC
ISBN-10
1138046183
ISBN-13
9781138046184
eBay Product ID (ePID)
240607005
Product Key Features
Number of Pages
542 Pages
Language
English
Publication Name
Foundations of Real Estate Financial Modelling
Publication Year
2018
Subject
Corporate Finance / Private Equity, Finance / Financial Risk Management, Investments & Securities / Real Estate, Real Estate / General, Real Estate, Investments & Securities / Analysis & Trading Strategies, Corporate Finance / General
Features
New Edition
Type
Textbook
Subject Area
Law, Business & Economics
Format
Trade Paperback
Dimensions
Item Height
1.3 in
Item Weight
33.7 Oz
Item Length
9.6 in
Item Width
6.9 in
Additional Product Features
Edition Number
2
Intended Audience
College Audience
LCCN
2017-042242
Reviews
"Staiger provides in-depth knowledge around interest rates, amortization, valuations, rent rolls, waterfalls, simulations, risk quantification, and so much more. Used as a foundational textbook in many real estate classes, this acts as a reference book that you will use throughout your commercial investing career." -Brad Cartier, MillionAcres
Dewey Edition
23
Illustrated
Yes
Dewey Decimal
332.63/24015118
Edition Description
New Edition
Table Of Content
PART 1 Real estate valuation basics, theory, and skills 1. Real estate basics 2. Asset valuation defined 3. Real estate characteristics defined 4. Interest rates 5. Amortization PART 2 Real estate pro forma modelling 6. Single-family rental (single page) 7. 5-unit multifamily 8. "N"-unit rent roll 9. Development page 10. N-unit for sale 11. Hotel PART 3 Real estate pro forma (enhancements) 12. Accounting statement(s) 13. Waterfall 14. Schochastic modelling (Crystal Ball) 15. Organization (OptQuest)
Synopsis
Foundations of Real Estate Financial Modelling , Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel. The book introduces an innovative new financial metric, P(Gain), which quantifies the probability of a Return of Capital and answers the most basic question for investing, "What is the probability I get my money back?". This new second edition has been fully revised and expanded. The book is separated into three functional units: (1) Real Estate Valuation Basics, Theory and Skills, (2) Real Estate Pro Forma Modelling, (3) Real Estate Pro Forma (Enhancements). New and enhanced Chapters cover: Interest rates Amortization Single- and multi-family unit Development module Rent roll module Waterfall (equity bifurcation) Hotel, retail/office and townhouse. In addition, this new edition includes problem sets and solutions at the end of each chapter as well as case studies underpinning the chapter topics. Further chapters are dedicated to risk quantification and include scenario, stochastic and Monte Carlo simulations, equity waterfalls, and adding U.S. GAAP financial statements to existing real estate pro forma models. This book is the ideal textbook for a Real Estate Finance class, providing the theoretical basis of real estate finance as well as valuable modelling skills for the workplace. This book provides individuals with a step-by-step instruction on how to construct a real estate financial model starting with a new spreadsheet. The resultant model is portable, scalable, and modular. A companion website provides the pro forma models to readers as a reference for their own constructed models. Companion web material available at: https: //pgainllc.com/, NAMED ONE OF THE BEST COMMERCIAL REAL ESTATE BOOKS BY THE MOTLEY FOOL Foundations of Real Estate Financial Modelling, Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel. The book introduces an innovative new financial metric, P(Gain), which quantifies the probability of a Return of Capital and answers the most basic question for investing, "What is the probability I get my money back?". This new second edition has been fully revised and expanded. The book is separated into three functional units: (1) Real Estate Valuation Basics, Theory and Skills, (2) Real Estate Pro Forma Modelling, (3) Real Estate Pro Forma (Enhancements). New and enhanced Chapters cover: Interest rates Amortization Single- and multi-family unit Development module Rent roll module Waterfall (equity bifurcation) Hotel, retail/office and townhouse. In addition, this new edition includes problem sets and solutions at the end of each chapter as well as case studies underpinning the chapter topics. Further chapters are dedicated to risk quantification and include scenario, stochastic and Monte Carlo simulations, equity waterfalls, and adding U.S. GAAP financial statements to existing real estate pro forma models. This book is the ideal textbook for a Real Estate Finance class, providing the theoretical basis of real estate finance as well as valuable modelling skills for the workplace. This book provides individuals with a step-by-step instruction on how to construct a real estate financial model starting with a new spreadsheet. The resultant model is portable, scalable, and modular. A companion website provides the pro forma models to readers as a reference for their own constructed models. Companion web material available at: https://pgainllc.com/, NAMED ONE OF THE BEST COMMERCIAL REAL ESTATE BOOKS BY THE MOTLEY FOOL Foundations of Real Estate Financial Modelling , Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel. The book introduces an innovative new financial metric, P(Gain), which quantifies the probability of a Return of Capital and answers the most basic question for investing, "What is the probability I get my money back?". This new second edition has been fully revised and expanded. The book is separated into three functional units: (1) Real Estate Valuation Basics, Theory and Skills, (2) Real Estate Pro Forma Modelling, (3) Real Estate Pro Forma (Enhancements). New and enhanced Chapters cover: Interest rates Amortization Single- and multi-family unit Development module Rent roll module Waterfall (equity bifurcation) Hotel, retail/office and townhouse. In addition, this new edition includes problem sets and solutions at the end of each chapter as well as case studies underpinning the chapter topics. Further chapters are dedicated to risk quantification and include scenario, stochastic and Monte Carlo simulations, equity waterfalls, and adding U.S. GAAP financial statements to existing real estate pro forma models. This book is the ideal textbook for a Real Estate Finance class, providing the theoretical basis of real estate finance as well as valuable modelling skills for the workplace. This book provides individuals with a step-by-step instruction on how to construct a real estate financial model starting with a new spreadsheet. The resultant model is portable, scalable, and modular. A companion website provides the pro forma models to readers as a reference for their own constructed models. Companion web material available at: https: //pgainllc.com/, Specifically designed to provide an overview of pro forma modelling for real estate projects. The new edition has been updated to include a more theoretical unpinning before models for all asset classes are built. The author has introduced problem sets to aid theoretical learning. This book is the ideal companion to core real estate finance textbooks and will boost students Excel modelling skills before they enter the workplace. The book provides individuals with a step-by-step instruction on how to construct a real estate financial model that is portable, scalable and modular. A companion website provides the pro forma models to give readers a basic financial model for each asset class.
LC Classification Number
HD1382.5.S72 2018
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