Fundamental housing prices in the Baltic States: empirical approach

IF 1.2 3区 经济学 Q3 ECONOMICS Baltic Journal of Economics Pub Date : 2016-04-24 DOI:10.1080/1406099X.2016.1173446
Darius Kulikauskas
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引用次数: 9

Abstract

ABSTRACT This paper investigates if the imbalances in the Baltic residential real estate markets that were mounting up prior the crisis of 2008–2009 could have been detected in real time. It develops an empirical framework comprised of various empirical techniques for assessing housing price misalignments from their fundamental prices. For this purpose, several statistical indicators (price-to-rent ratio, price-to-income ratio, price deviations from Hodrick-Prescott filtered trend) together with the estimates from equilibrium equations are computed. The use of those indicators in a consistent graphical framework reduce the uncertainty associated with using only a single metric and allows to arrive to clearer conclusions about residential real estate price misalignments. It is shown that the framework would have been able to identify the overvaluation in the residential real estate markets in the Baltics as early as in 2005.
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波罗的海国家基本房价:实证方法
摘要:本文探讨了在2008-2009年危机之前,波罗的海住宅房地产市场的失衡是否可以被实时发现。它开发了一个由各种经验技术组成的经验框架,用于评估房价偏离其基本价格。为此,计算了几个统计指标(租售比、房价收入比、价格偏离Hodrick-Prescott过滤趋势)以及均衡方程的估计值。在一致的图形框架中使用这些指标减少了仅使用单一指标的不确定性,并允许得出关于住宅房地产价格失调的更清晰的结论。结果表明,该框架早在2005年就能够识别出波罗的海国家住宅房地产市场的估值过高。
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来源期刊
CiteScore
2.20
自引率
0.00%
发文量
7
审稿时长
30 weeks
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