Real Estate Finance and Investment | Harvard University

Real Estate Finance and Investment | Harvard University

This course presents a toolkit for maximizing risk-adjusted investment returns. Students closely examine the four sources of real estate returns (cash flow, appreciation, loan amortization, and tax advantages) which have an impact on their investment strategy. They develop an investment scorecard for scrutinizing new investment opportunities. They practice a rigorous, rational approach to deciding when to hold, sell, refinance, or renovate a property. They study strategies for raising capital from investors and work through examples of successful partnership structures. Finally, students learn how to efficiently manage a growing portfolio of cash-flowing assets.


Course Page
Price
$3,220
Delivery
Online
Date
January 25 - May 11, 2024
Level
Intermediate
Credit
Degree Credit
Language
English