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Hybrid Event (In-person or Virtual participation)

International Conference on Real Estate Risk Management and Portfolio Diversification · Registering as Listener

ICRERMPD
📅 29 – 30 Jan 2027 📍 Victoria-Mahe, Seychelles 👥 Standard / Physical Participation
Listener Registration From
$165
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Registration summary

ConferenceInternational Conference on Real Estate Risk Management and Portfolio Diversification
ModeStandard / Physical
ParticipationListener
Registration fee$165.00
Bank charges (5.8%)$9.57
Total payable $174.57

Includes all bank processing charges — the amount above is exactly what will be charged.

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Benefits of Registering as Listener

👥Access to Conference Sessions
🔗Networking Opportunities
🎖Certificate of Participation
Invitation Letter Support
📚Conference Kit / Materials
🎤Access to Keynote Sessions
• Conference Session Tracks •
SDG

SDG-Aligned Research Themes

Conference tracks support global knowledge exchange, innovation, and sustainable development priorities across diverse disciplines.

SDG 1 SDG 8 SDG 9 SDG 11

This track explores cutting-edge investment strategies tailored for the real estate sector. Participants will discuss how these strategies can optimize portfolio performance amidst market fluctuations.

Focusing on advanced risk assessment techniques, this track aims to identify and mitigate potential risks in real estate investments. Experts will share insights on quantitative and qualitative approaches to risk evaluation.

This session will delve into effective asset allocation strategies for real estate portfolios. Discussions will center on balancing risk and return while considering market dynamics.

Participants will analyze current trends and challenges in housing markets globally. This track aims to provide a comprehensive understanding of the factors influencing housing demand and supply.

This track will examine recent innovations in real estate finance and their implications for investors and stakeholders. Topics will include financing structures, investment vehicles, and market accessibility.

Focusing on global perspectives, this session will cover advanced modeling techniques for assessing property risks. Participants will discuss the integration of data analytics and predictive modeling in risk management.

This track will investigate the effects of market volatility on real estate investments and portfolio performance. Experts will provide insights into strategies for navigating uncertain market conditions.

This session will explore financial strategies specifically designed for real estate funds. Discussions will include fund management, performance metrics, and investor relations.

Participants will engage in discussions surrounding the economic principles that underpin real estate markets. This track aims to bridge theoretical frameworks with practical applications in real estate economics.

This track will focus on contemporary property valuation techniques and their application in various market conditions. Experts will share best practices for ensuring accurate and reliable property assessments.

This session will address the role of governance in managing risks within the real estate sector. Participants will discuss frameworks and policies that enhance risk governance and decision-making processes.

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