Real Estate Risk Management in Cross-Border Transactions** | Blazingprojects Postgraduate Thesis
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Real Estate Risk Management in Cross-Border Transactions**

 

Table Of Contents


  • **Table of Contents:** **

Chapter ONE

INTRODUCTION

  • ** - Background and Context - Research Problem Statement - Objectives of the Study - Significance of the Study - Scope and Limitations - Organization of the Thesis **

Chapter TWO

LITERATURE REVIEW

  • ** - Conceptual Framework of Real Estate Risk Management - Types of Risks in Cross-Border Transactions - Factors Influencing Real Estate Risk in Cross-Border Deals - Existing Risk Management Practices in Cross-Border Transactions - Critical Analysis of Literature Gaps **

Chapter THREE

RESEARCH METHODOLOGY

  • ** - Research Design - Data Collection Methods - Case Study Selection Criteria - Data Analysis Techniques - Limitations of the Methodology **

Chapter FOUR

DATA PRESENTATION AND ANALYSIS

  • Findings and Analysis** - Overview of Cross-Border Real Estate Transactions - Identification of Risk Factors in Selected Case Studies - Analysis of Risk Management Strategies Employed - Quantitative Assessment of Risk Factors - Comparative Analysis of Case Studies **

Chapter FIVE

SUMMARY, CONCLUSION AND RECOMMENDATIONS

  • Discussion and Recommendations** - Interpretation of Findings - Implications for Theory and Practice - Recommendations for Enhancing Risk Management in Cross-Border Transactions - Areas for Future Research **Conclusion** - Summary of Key Findings - Contributions to Knowledge - Practical Implications - Concluding Remarks **References** **Appendices** - Case Study Details - Questionnaire or Interview Protocol (if applicable) - Statistical Analysis Output (if applicable)

Thesis Abstract



**Abstract
**
This study explores the complexities and challenges of managing risks in cross-border real estate transactions. With globalization facilitating increased investment flows across borders, understanding and mitigating risks associated with such transactions have become paramount. This research examines various risk factors specific to cross-border real estate deals and proposes strategies for effective risk management. The study employs a mixed-methods approach, combining qualitative analysis of case studies with quantitative assessment of risk factors. Findings from this research contribute to the body of knowledge on real estate risk management and offer practical insights for stakeholders involved in cross-border transactions.


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