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Offene und Geschlossene Immobilienfonds im Vergleich von Eigenschaften und Transparenzverhalten

Offene und Geschlossene Immobilienfonds im Vergleich von Eigenschaften und Transparenzverhalten

          
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About the Book

Bachelorarbeit aus dem Jahr 2007 im Fachbereich BWL - Investition und Finanzierung, Note: 1,3, Bauhaus-Universität Weimar, Sprache: Deutsch, Abstract: Indirekte Immobilienanlageprodukte genießen in Deutschland bei Kapitalanlegern einen hohen Stellenwert. Inzwischen sind über 390 Mrd. Euro in diese Produkte investiert worden und es ist fest davon auszugehen, dass nach einer langen Zeit der Immobilienrezession in Deutschland die Preise für Immobilien wieder steigen werden und daher möglichst viele Anleger an dem erhofften Aufschwung mit teilhaben wollen. Da eine Direktanlage aufgrund des hohen Kapitaleinsatzes für viele private Kapitalanleger nicht in Frage kommt, stellen daher die Immobilienanlageprodukte eine äußerst gefragte Alternative dar. Somit können auch Personen mit niedrigerem Einkommen an den spezifischen Vorteilen von Immobilienanlagen profitieren. Etwa zwei Drittel des gesamten Anlagevolumens in Immobilienanlageprodukte besteht aus dem Vermögen der offenen und geschlossenen Immobilienfonds. Gerade diese beiden Produkte sind äußerst beliebt bei Anlegern, obwohl sie grundverschiedene Eigenschaften besitzen und jeweils unterschiedlich funktionieren. Vielen Kapitalanlegern fehlt jedoch das Hintergrundwissen zu speziellen Funktionsweisen, den Eigenschaften und auch der Konzipierung ihrer Anlage. Dieses jedoch ist für eine eigenverantwortliche und richtig gewählte Anlageentscheidung unerlässlich, um selbst das größtmögliche Potenzial aus dem eigenem Kapital zu ziehen und mögliche Performanceeinflüsse rechtzeitig erkennen zu können. Anleger müssen daher die Chance besitzen, sich umfassend informieren zu können. Hohe Transparenzanforderungen werden an die Produkte gestellt. Dazu gibt es mehr oder weniger umfassende Transparenzvorschriften des Staates als auch freiwillige Publikationen der Fondsanbieter und Standards, um mehr Anlegervertrauen zu gewinnen und einen entsprechenden Anlegerschutz garantieren zu können. Diese Arbeit wird sich aus genannten Gründen d


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Product Details
  • ISBN-13: 9783640099405
  • Publisher: Grin Publishing
  • Binding: Paperback
  • Language: German
  • Returnable: N
  • Spine Width: 6 mm
  • Width: 148 mm
  • ISBN-10: 3640099400
  • Publisher Date: 14 Jul 2008
  • Height: 210 mm
  • No of Pages: 98
  • Series Title: German
  • Weight: 136 gr


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