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Financing method for real estate and infrastructure development using Markowitz’s portfolio selection model and the Monte Carlo simulation

Author(s):
Medium: journal article
Language(s): English
Published in: Engineering, Construction and Architectural Management, , n. 9, v. 26
Page(s): 2008-2022
DOI: 10.1108/ecam-10-2018-0440
Abstract:

Purpose

Special purpose companies issue stocks to raise money to finance development of real estate and infrastructure. The advantage of a stock issue is that it does not entail financial cost such as interest on a loan. However, financing obtained in this way has been insufficient due to low interest by investors because of the large variability of the stocks’ earnings rates. The purpose of this paper is to propose methods to improve investment earnings rate for financing.

Design/methodology/approach

The proposed methods are Markowitz’s model and a combination of Markowitz’s model and Monte Carlo simulation. The proposed methods were verified by comparison with actual earnings rate.

Findings

The earnings rate was increased by as much as 23 percent over the actual value. Then, earnings rate compared with risk was analyzed using the Sharpe ratio which is a method to measure investment performance. The performance was also increased by as much as 23 percent over the actual value. The proposed method can help activate investment by increasing investors’ interest in the stock issue.

Originality/value

This study verified that Markowitz’s portfolio model, which is used for econometrics, could be applied for financing of construction project. It is valuable because the previous studies did not propose the method for financing.

Structurae cannot make the full text of this publication available at this time. The full text can be accessed through the publisher via the DOI: 10.1108/ecam-10-2018-0440.
  • About this
    data sheet
  • Reference-ID
    10576827
  • Published on:
    26/02/2021
  • Last updated on:
    26/02/2021
 
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