RT Journal Article SR Electronic T1 The Post-Crisis CMBS Market: Will Regulations Prevent Another Market Meltdown? JF The Journal of Portfolio Management FD Institutional Investor Journals SP 118 OP 125 DO 10.3905/jpm.2015.41.6.118 VO 41 IS 6 A1 Frank J. Fabozzi A1 Joe McBride A1 Manus Clancy YR 2015 UL https://pm-research.com/content/41/6/118.abstract AB In this article, the authors discuss the importance and development of the commercial mortgage-backed securities (CMBS) market. They then review several issues that will play an important role in fostering recovery of the CMBS market or impeding the CMBS markets or particular segments within that market: (1) the risk-retention rule applicable to commercial real estate loans and CMBS under the Dodd–Frank Act, (2) the U.S. federal banking regulators’ adoption of the U.S. Basel III rule, and (3) federal government participation in the reinsurance market for terrorist insurance.TOPICS: Real estate, portfolio management/multi-asset allocation