Quantitative risk management
Open-ended real estate funds
Hedonic regression models
Cay Oertel studied Economics (B.Sc) with focus on foreign trade and quantitative methods at the University of Regensburg and the Università degli Studi Milano-Bicocca (Italy). He then added a Master of Science in Real Estate from the IRE|BS Institute of Real Estate with focus on real estate investment and finance as well as Real Estate and regional Economics.
Since 2015, he worked as undergraduate assistant at the Competence Center for Sustainable Real Estate. He received his doctorate there in June 2020.