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    題名: 不動產ETF可減少投資人失望嗎?
    作者: 賴慧慧;LAI, HUI-HUI
    貢獻者: 財務金融學系在職專班
    關鍵詞: 不動產;股息收益;ETF
    日期: 2020-07-28
    上傳時間: 2020-09-02 16:49:28 (UTC+8)
    出版者: 國立中央大學
    摘要: 本研究目的主要是探討投資於不動產ETF (Real Estate ETF)在多變的投資環境中市場其表現如何? 當面臨多頭市場時,投資於不動產ETF可以讓投資人可以獲得穩健的報酬及股息收益,同時在市場環境下跌時可以避免遭受更大的投資損失。本論文研究方法對不動產ETF之報酬做迴歸分析;主要發現當Real Estate ETF 在市場下跌時,有相對於上漲時較高的報酬。

    此外,本文所研究內容是以美國前30大不動產ETF作為探討對象。因投資不動產交易需耗費龐大資金、手續繁雜、投資成本相較昂貴,然而投資不動產ETF其標的投資較為分散、選擇性多、操作靈活且交易手續費便宜等優點。故希望透過此研究,當不動產ETF在面臨市場投資風險時,其所擁有的種種投資優勢,未來可作為投資人之資產配置選擇及降低投資風險之參考標的。

    ;The purpose of this research is to explore how the Real Estate ETF ( REITs ETF) market performs in a changing investment environment. When facing a bull market, investing in Real Estate ETF can provide investors with stable returns and dividend income, while avoiding greater investment losses when the market environment falls. The research method of this thesis is the regression analysis on the Real Estate ETF′s compensation; it mainly finds that when the Real Estate ETF declines in the market, it has higher compensation than when it rises.

    In addition, the research content of this paper is to the top 30 U.S. Real Estate ETF as the object of discussion. Because the investment Real Estate transactions need to spend a lot of money, complicated procedures, investment costs are more expensive. However, investment in Real Estate ETF its target investment is more diversified, more selective, flexible operation and cheap transaction fees and other advantages. Therefore, it is hoped that through this study, when the Real Estate ETF in the face of market investment risk, it has a variety of investment advantages, the future can be used as the investor′s asset allocation choice and reduce investment risk reference target.
    顯示於類別:[財務金融學系碩士在職專班] 博碩士論文

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