25.8.20
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Risk Management for Real Estate

This course provides an understanding of effective risk management to moderate or mitigate the volatility that can result in extreme outcomes that can result in catastrophic capital erosion. Key features include the use of behavioural finance concepts, strategies and toolkits in risk management. The course also covers diversification in real estate portfolio management and the attendant risk-return tradeoffs. The course will prepare learners in providing customised wealth and asset planning, advisory services and investment strategies essential for wealth planners/managers, investment counsellors/advisors, investment analysts, portfolio, fund and asset managers, real estate investment analysts and managers, insurance professionals, real estate developers, real estate agents and advisors.

Issued on

October 23, 2021

Expires on

Does not expire