Investing in REITs: Strategies for Financial Success 1 Credit
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Most people are unaware of what a REIT is, and even fewer understand how it works. Unfortunately, many investment advisors don’t fully understand and explain the advantages and risks of investing in REITs.
Real Estate Investment Trusts (REITs) are a powerful but often misunderstood investment vehicle. For many, the intricacies of REITs remain shrouded in mystery, and even some investment advisors struggle to provide a clear picture of their advantages and risks. In this illuminating course, we aim to demystify REITs and equip individuals with the knowledge needed to make informed investment decisions. From defining what a REIT is and exploring its various types, including Commercial, Residential, and Mortgage REITs, to understanding how they operate and distribute dividends, this course is tailored to provide a comprehensive overview.
This course will explain what a Real Estate Investment Trust (REIT) is, and the advantages and disadvantages of investing in REITs. We will discuss how REITs work and how dividends are paid on REITs. This course is appropriate for anyone considering making an investment in real estate investment trusts for their investment portfolio.
Join this CPE Finance Course to demystify REITs and unlock their potential as a valuable addition to your investment portfolio.
Elevate your valuation expertise with MY-CPE's top-tier CVA CPE courses, tailored specifically for professionals looking to advance in the field of Certified Valuation Analysts. At MY-CPE, we pride ourselves on offering courses that not only fulfill your CPE requirements but also enhance your understanding and skills. Our comprehensive selection of CVA CPE courses is designed to keep you at the forefront of valuation knowledge, ensuring you remain competitive and proficient in your career.
License details | Credits | Status |
---|---|---|
Finance for Certified Public Accountants (CPA-US) | 1 CPE | Approved |
Investment Planning for Personal Financial Specialist (PFS) | 1 CPD | Eligible |
Investment Decision Making for Chartered Financial Analyst (CFA) | 1 PL | Eligible |
Finance for Delaware Licensed Public Accountant (DE-LPA) | 1 CPE | Eligible |
Investments for Chartered Financial Consultant (ChFC) | 1 CE | Eligible |
Financial Planning for Certified Wealth Strategist (CWS) | 1 CE | Eligible |
Financial Planning for Certified Fiduciary and Investment Risk Specialist (CFIRS) | 1 CE | Eligible |
Investments for Retirement Income Certified Professional (RICP) | 1 CE | Eligible |
Investment Planning for Certified Financial Planner (CFP-US) (Approval No. 322127) (Valid upto : Dec 31, 2024) | 1 CE | Approved |
Investments for Wealth Management Certified Professional (WMCP) | 1 CE | Eligible |
Investments for Financial Services Certified Professional (FSCP) | 1 CE | Eligible |
Finance for Iowa Licensed Public Accountant (IA-LPA) | 1 CPE | Eligible |
Finance for Maine Licensed Public Accountant (ME-LPA) | 1 CPE | Eligible |
Investments for Chartered Special Needs Consultant (ChSNC) | 1 CE | Eligible |
Investments for Chartered Advisor in Senior Living (CASL) | 1 CE | Eligible |
Investment Decision Making for CIPM | 1 PL | Eligible |
Financial Planning for Chartered Life Underwriter (CLU) | 1 CE | Eligible |
License details | Credits | Status |
---|---|---|
Finance for Certified Public Accountants (CPA-US) | 1 CPE | Approved |
Investment Planning for Personal Financial Specialist (PFS) | 1 CPD | Eligible |
Investment Decision Making for Chartered Financial Analyst (CFA) | 1 PL | Eligible |
Finance for Delaware Licensed Public Accountant (DE-LPA) | 1 CPE | Eligible |
Investments for Chartered Financial Consultant (ChFC) | 1 CE | Eligible |
Financial Planning for Certified Wealth Strategist (CWS) | 1 CE | Eligible |
Financial Planning for Certified Fiduciary and Investment Risk Specialist (CFIRS) | 1 CE | Eligible |
Investments for Retirement Income Certified Professional (RICP) | 1 CE | Eligible |
Investment Planning for Certified Financial Planner (CFP-US) (Approval No. 322127) (Valid upto : Dec 31, 2024) | 1 CE | Approved |
Investments for Wealth Management Certified Professional (WMCP) | 1 CE | Eligible |
Investments for Financial Services Certified Professional (FSCP) | 1 CE | Eligible |
Finance for Iowa Licensed Public Accountant (IA-LPA) | 1 CPE | Eligible |
Finance for Maine Licensed Public Accountant (ME-LPA) | 1 CPE | Eligible |
Investments for Chartered Special Needs Consultant (ChSNC) | 1 CE | Eligible |
Investments for Chartered Advisor in Senior Living (CASL) | 1 CE | Eligible |
Investment Decision Making for CIPM | 1 PL | Eligible |
Financial Planning for Chartered Life Underwriter (CLU) | 1 CE | Eligible |
License details | Credits | Status |
---|---|---|
Finance for Certified Public Accountants (CPA-US) | 1 CPE | Approved |
Investment Planning for Personal Financial Specialist (PFS) | 1 CPD | Eligible |
Investment Decision Making for Chartered Financial Analyst (CFA) | 1 PL | Eligible |
Finance for Delaware Licensed Public Accountant (DE-LPA) | 1 CPE | Eligible |
Investments for Chartered Financial Consultant (ChFC) | 1 CE | Eligible |
Financial Planning for Certified Wealth Strategist (CWS) | 1 CE | Eligible |
Financial Planning for Certified Fiduciary and Investment Risk Specialist (CFIRS) | 1 CE | Eligible |
Investments for Retirement Income Certified Professional (RICP) | 1 CE | Eligible |
Investment Planning for Certified Financial Planner (CFP-US) (Approval No. 322127) (Valid upto : Dec 31, 2024) | 1 CE | Approved |
Investments for Wealth Management Certified Professional (WMCP) | 1 CE | Eligible |
Investments for Financial Services Certified Professional (FSCP) | 1 CE | Eligible |
Finance for Iowa Licensed Public Accountant (IA-LPA) | 1 CPE | Eligible |
Finance for Maine Licensed Public Accountant (ME-LPA) | 1 CPE | Eligible |
Investments for Chartered Special Needs Consultant (ChSNC) | 1 CE | Eligible |
Investments for Chartered Advisor in Senior Living (CASL) | 1 CE | Eligible |
Investment Decision Making for CIPM | 1 PL | Eligible |
Financial Planning for Chartered Life Underwriter (CLU) | 1 CE | Eligible |
License details | Credits | Status |
---|---|---|
Finance for Certified Public Accountants (CPA-US) | 1 CPE | Approved |
Investment Planning for Personal Financial Specialist (PFS) | 1 CPD | Eligible |
Investment Decision Making for Chartered Financial Analyst (CFA) | 1 PL | Eligible |
Finance for Delaware Licensed Public Accountant (DE-LPA) | 1 CPE | Eligible |
Investments for Chartered Financial Consultant (ChFC) | 1 CE | Eligible |
Financial Planning for Certified Wealth Strategist (CWS) | 1 CE | Eligible |
Financial Planning for Certified Fiduciary and Investment Risk Specialist (CFIRS) | 1 CE | Eligible |
Investments for Retirement Income Certified Professional (RICP) | 1 CE | Eligible |
Investment Planning for Certified Financial Planner (CFP-US) (Approval No. 322127) (Valid upto : Dec 31, 2024) | 1 CE | Approved |
Investments for Wealth Management Certified Professional (WMCP) | 1 CE | Eligible |
Investments for Financial Services Certified Professional (FSCP) | 1 CE | Eligible |
Finance for Iowa Licensed Public Accountant (IA-LPA) | 1 CPE | Eligible |
Finance for Maine Licensed Public Accountant (ME-LPA) | 1 CPE | Eligible |
Investments for Chartered Special Needs Consultant (ChSNC) | 1 CE | Eligible |
Investments for Chartered Advisor in Senior Living (CASL) | 1 CE | Eligible |
Investment Decision Making for CIPM | 1 PL | Eligible |
Financial Planning for Chartered Life Underwriter (CLU) | 1 CE | Eligible |
Credit
Course Level
Instructional Method
Pre-requisites
Advance Preparation
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Dr. Minniti is the President and Owner of Minniti CPA, LLC. Dr. Minniti is a Certified Public Accountant, Certified Forensic Accountant, Certified Fraud Examiner, Certified Valuation Analyst, Certified in Financial Forensics, Master Analyst in Financial Forensics, Chartered Global Management Accountant, and is a licensed private investigator in the state of Arizona. Dr. Minniti received his doctoral degree in business administration from Walden University, received his MBA degree and Graduate Certificate in Accounting from DeVry University’s Keller Graduate School of Management, and received his Bachelor of Science in Business Administration degree from the University of Phoenix. Dr. Minniti taught graduate and undergraduate courses in forensic accounting at DeVry University, Grand Canyon University, Kaplan University, Northwestern University, and the University of Phoenix.
He designed graduate and undergraduate courses for Grand Canyon University, Northwestern University, and Anthem College. He is a writer and public speaker. He has experience in forensic accounting, fraud examinations, financial audits, internal audits, compliance audits, real estate valuations, business valuations, internal control development, business continuation planning, risk management, financial forecasting, and Sarbanes-Oxley compliance work. Dr. Minniti is an instructor teaching continuing professional education classes for the American Institute of Certified Public Accountants, Compliance Online, CPE Link/CCH . AccountingEd, Global Compliance Panel, Clear Law Institute, CPE Solutions, Canopy CPE, The Institute of Management Accountants, the National Association of Valuators and Analysts, the Association of Certified Fraud Examiners, the Institute of Internal Auditors, and various state CPA Societies.
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To earn credits, you must attend the entire live webinar, actively participate in any polls or questions, and complete any required evaluations or assessments. Credits are awarded based on your attendance and participation in the live session.
Yes, all our live webinars are approved by NASBA, IRS, CFP Board, HRCI, SHRM, Payroll Org, FP Canada, and 25+ other regulatory bodies, ensuring they meet the high standards for quality, interactivity, and educational content set by these organizations.
To maintain compliance, you must adhere to the guidelines set by NASBA and other regulatory bodies, which include attending the full duration of the webinar, participating in interactive elements, and completing any post-webinar evaluations or assessments.
After successfully attending a live webinar and fulfilling all participation requirements, you can access and download your completion certificates from your account dashboard on our platform. These certificates are recognized by NASBA, IRS, CFP Board, HRCI, SHRM, Payroll Org, FP Canada, and 25+ other regulatory bodies for compliance and reporting purposes.
We issue instant credit certificates, ensuring they are valid for presentation to governing bodies. Typically, we report IRS, CTEC, CFP, IDFP, IWI, VBOA Ethics credits within 7 days – the fastest in the industry.
PS
Dr. Minniti always provides a really good presentation by giving us some good practical information without too much overload. He hits the important highlights within the hour and I like his presentation style as well. I have taken his courses before and will do so again.
WF
I found it very interesting to see the different items in the REITS and how they work. Also seeing the history of some investments side by side over the years.
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