Highlights
Task:
Learning Outcome/s (found in the Subject Outline)
a) Analyse various forms of property investment including REITS, their risks and opportunities and taxation implications.
b) Utilise after tax and financial management techniques such as sensitivity analysis, risk/return profiles and income/costs analysis to maximise portfolio performance.
c) Evaluate property investment and portfolio strategies and determine suitable benchmarks.
d) Apply concepts of mathematics and finance to property investment analysis.
e) Understand and apply strategies to determine the appropriate capital structure to finance the property.
institutional investors have committed to investing in the A-REIT. As the Fund Manager you are now required to conduct research using the portfolio’s own performance metrics (required rate of return) to identify a suitable asset to add to the existing portfolio assets. Prepare a pro-forma of discounted projected cash flows for your hypothetical asset.
Note: provide basic property information i.e. expected revenue stream/s, vacancy factor, operational expenses and other information that may be relevant. Apply sensitivity analysis to key investment parameters (i.e. rental growth rates, interest rates, discount rates and resale capitalisation rates) to the potential asset that would increase the overall portfolio return and also reduce the volatility (risk) of the portfolio.
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