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Global Real Estate Investment & Capital Markets

Niveau

Introduction & in-depth study

Learning outcomes of the courses/module

The participants:
• explain the structures, players and functional mechanisms of international real estate and capital markets.
• analyze influencing factors such as interest rates, inflation, economic activity and currency risks on real estate investments.
• apply static and dynamic valuation and investment methods to case examples.
• compare financing instruments in terms of risk, return and liquidity.
• interpret and discuss market and financial data in order to justify investment decisions in a global context.

Prerequisites for the course

Business, Economics & Financing

Course content

- International real estate markets and capital flows
- Market structures, players and investment vehicles
- Macroeconomic framework conditions
- Investment decisions and risk analysis
- Financing forms and capital-market instruments
- Global trends: ESG investments, sustainable finance, digitization in capital markets
- International case studies on real estate investments

Recommended specialist literature

- Schoenmaker, D., & Schramade, W. (2023). Corporate Finance for Long-Term Value. Springer International Publishing. https://doi.org/10.1007/978-3-031-35009-2
- Thewissen, J., Arslan-Ayaydin, Ö., Westerman, W., & Dorsman, A. (Eds.). (2024). The ESG Framework and the Energy Industry: Demand and Supply, Market Policies and Value Creation. Springer International Publishing. https://doi.org/10.1007/978-3-031-48457-5

Assessment methods and criteria

Portfolio assessment

Language

English

Number of ECTS credits awarded

5

Semester hours per week

Planned teaching and learning method

Lectures, discussions, case studies, group work

Semester/trimester in which the course/module is offered

2

Type of course/module

Type of course