Business & Economics
Markov Switching Model
87%
Predictability
85%
Value Analysis
82%
Real Estate
81%
Excess Returns
72%
Economic Value
67%
Public Real Estate
53%
Real Estate Returns
49%
Transaction Costs
49%
Mean-variance Portfolios
43%
Portfolio Allocation
41%
Sharpe Ratio
39%
Forecasting Accuracy
39%
Predictors
36%
Mean-variance
35%
Predictive Power
35%
Inclusion
28%
Regression Model
28%
Performance
13%
Social Sciences
value analysis
100%
economic value
80%
real estate
78%
transaction costs
27%
inclusion
15%
regression
14%
performance
10%
Earth & Environmental Sciences
economics
39%
transaction cost
31%
allocation
19%
analysis
18%
forecasting
17%
public
15%
test
8%