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Deals directly with the risk/return trade-offs emerging as a result of the closely intertwined relationship between banking and real estate. Provides an analysis of the holistic and proactive strategies that best practices in banking are adopting to manage these issues and plan for a new set of interrelations.
Deals directly with the risk/return trade-offs emerging as a result of the closely intertwined relationship between banking and real estate. Provides an analysis of the holistic and proactive strategies that best practices in banking are adopting to manage these issues and plan for a new set of interrelations.
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Autorenporträt
Alessia Bezzecchi is Associate Professor of Practice di Corporate Finance and Real Estate and Program Director at the Executive Master in Finance (EMF), focused on Asset/Wealth Management, Corporate Finance & Control, Banking Transformation, Real Estate Transformation at SDA Bocconi School of Management. She is also teaching professor of "capital markets" at Bocconi University and Director for the Executive Program in Real Estate Finance and Real Estate (EPFIRE)
Claudio Scardovi is a managing director and global co-head of the financial services practice for AlixPartners, a global consultancy focused on restructuring, value recovery, transformation and growth. Claudio has specialized in the financial services sector for the last 24 years, primarily (for 19 years) as managing director and country or regional head of financial services for a number of companies, including KPMG, Accenture, Intervaluenet.com, Oliver Wyman, Lehman Brothers, Nomura, Advent International and AlixPartners. He is also a professor at Bocconi University and at SDA Bocconi, specializing in capital markets, financial systems, restructuring and transformation, and for Imperial College's master's in management programme. Author of over 200 articles and papers and 17 books, Claudio is also one of the strategic advisors to the master's programme at Imperial College in London and is part of the strategic advisory board/Future of Banking for the World Economic Forum. He has also been a board member of Risanamento SpA and Consorzio AMI in Italy.
Inhaltsangabe
Chapter 1. Banking and real estate: a difficult relationship Chapter 2. Real estate strategy for banks: not an oxymoron Chapter 3. Credit work out and real estate management - in the digital age Chapter 4. Data management: NPL assessment in a digital world Chapter 5. Optimal NPL value management: strategy, governance, organization Chapter 6. Case study in credit work out management: Urbi et Orbi Bank Chapter 7. Real estate: market analysis, international evidence and strategic planning Chapter 8. Real estate appraisal: fundamentals, appraisal process and valuation Chapter 9. Stress testing a real estate portfolio through value at risk
Chapter 1. Banking and real estate: a difficult relationship Chapter 2. Real estate strategy for banks: not an oxymoron Chapter 3. Credit work out and real estate management - in the digital age Chapter 4. Data management: NPL assessment in a digital world Chapter 5. Optimal NPL value management: strategy, governance, organization Chapter 6. Case study in credit work out management: Urbi et Orbi Bank Chapter 7. Real estate: market analysis, international evidence and strategic planning Chapter 8. Real estate appraisal: fundamentals, appraisal process and valuation Chapter 9. Stress testing a real estate portfolio through value at risk
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