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28 May 2012

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Moving beyond standard deviation to assess real estate risks

The roller coaster ride of the credit crisis and the economic recession has placed the inadequacy of current tools for accurately incorporating risk in real estate investments firmly under the spotlight, says Eugene Philips, MD, Research, at ING Real Estate Investment Management Europe in a PIE Guest Column. It has become obvious that standard deviation, the statistical mainstay of investment risk models, is not readily applicable in the world of property investing.

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