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Portfolio Simulation
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IPD Portfolio Simulation uses cashflow values, generated by the tenant income stream generated by the IPD / OCCAM Probability Adjusted Cashflow Model, to model IPD Index total returns, and:
• Can apply either to a specific fund or an entire market
• Applies rental growth values and equivalent yield data
• Is fully transparent and delivered in Excel
• Forecasts for up to 10 years
Can be used in: Forecasting, Asset Allocation, Strategy Formation
Beneficial for: Investors, Strategists, Derivative Traders
Measures: Total Return, Capital Growth, Duration, NPV, IRR
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