Risk adjusted performance and diversification benefits of Asia Pacific non-listed funds

20 May, 2015
  • This is the second annual report on the analysis of the ANREV Quarterly Index to assess the riskadjusted performance and diversification benefits of Asia-Pacific non-listed real estate funds over 2010-2014. Differences are seen in the performance of specific non-listed real estate strategies, relating to style, country, regions, sectors and structure. This clearly highlights the effectiveness of Asia-Pacific non-listed real estate in the Asia-Pacific real estate investment landscape.

    For further information concerning this ANREV report, contact Professor Graeme Newell at [email protected] or ANREV at [email protected] .

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Amelie Delaunay
Senior Director, Research & Professional Standards