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dc.contributor.authorHammel, Wilhelm
dc.date.accessioned2025-10-20T11:15:04Z
dc.date.available2025-10-20T11:15:04Z
dc.date.issued2025
dc.identifierONIX_20251020T130859_9783658489120_47
dc.identifier.urihttps://library.oapen.org/handle/20.500.12657/107681
dc.description.abstractThis open-access publication examines the organisational mechanisms that enable the commercial real estate industry to better withstand economic headwinds and more quickly recover from downturns. With geographic focus on the United Kingdom and Germany, it sheds light on the alternative lending space and explores how debt funds prepare to weather economic turbulence by adopting effective loan risk management practices. Given the significant market share of debt funds and their potential for future growth, the insights provided by industry experts into this rather opaque sector are pertinent and satisfy an urgent need. The publication derives key success factors for effective loan risk management from experience and distils them for practical application. It investigates the corporate structures, processes, cultures and relationships of debt funds. Particular focus falls on the operational practices of loan risk management, and the human resources and infrastructural requirements for success. The findings that are presented are relevant to practitioners, market analysts and academic researchers alike.
dc.languageEnglish
dc.relation.ispartofseriesBusiness and Economics (German Language)
dc.subject.classificationthema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFR Property and real estate
dc.subject.classificationthema EDItEUR::K Economics, Finance, Business and Management::KJ Business and Management::KJM Management and management techniques::KJMV Management of specific areas::KJMV4 Management of assets: real estate, property and plant
dc.subject.classificationthema EDItEUR::K Economics, Finance, Business and Management::KJ Business and Management::KJM Management and management techniques
dc.subject.classificationthema EDItEUR::G Reference, Information and Interdisciplinary subjects::GP Research and information: general::GPQ Decision theory: general::GPQD Risk assessment
dc.subject.othercommercial real estate
dc.subject.otherCRE
dc.subject.otheralternative lending
dc.subject.otherNPL
dc.subject.otherdebt fund
dc.subject.othercredit risk management
dc.subject.otherloan risk management
dc.subject.othernon-performing loans
dc.titleLoan Risk Management of Commercial Real Estate Debt Funds
dc.typebook
oapen.identifier.doi10.1007/978-3-658-48912-0
oapen.relation.isPublishedBy6c6992af-b843-4f46-859c-f6e9998e40d5
oapen.relation.isbn9783658489120
oapen.relation.isbn9783658489113
oapen.imprintSpringer Gabler
oapen.pages143
oapen.place.publicationWiesbaden
oapen.remark.publicFunded by: Author


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