All Europe articles – Page 100
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White papers
Now vs. the GFC
Comparisons between the turmoil in January and February versus the GFC in 2009 yield a number of observations.
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Perspective: Global Volatility, The Real Economy, and Real Estate
Bouts of financial market volatility likely to return
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Equity Controlled Volatility Strategy
Equity volatility – or the “fear factor” as popularised in fiction – recently came back to the forefront of market operators’ minds, the result of events such as the Greek crisis during 2015 and questions around China’s economic growth prospects and plunging oil prices earlier this year.
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White papers
Good buy or good bye?
2016 has already started with increased uncertainty over the direction of the global economy which has raised volatility in financial markets.
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Asset Manager News
M&G Real Estate to fund Ballymore’s Three Snowhill in the largest ever city centre office development outside London
M&G Real Estate is to fund the construction of Ballymore’s Three Snowhill, a 420,000 sq ft office development in Birmingham city centre.
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White papers
Specialist property funds
Property fund expert Martin Gilbert of DTZ Investors takes a detailed look at three specialist strategies that have won the backing of local authorities.
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UK real estate: returns slowing but occupier demand remains positive
With UK all-property initial yields falling to their lowest since 2007 attention is turning to income and rental growth as drivers of near-term performance.
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European real estate: investors rush to increase exposure
Europe’s undersupplied industrial sector continues to lead the field followed by its office and retail markets.
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Where to find value in real estate - the best investment opportunities in Europe and beyond
From the UK to Spain, real estate markets across Europe have enjoyed strong returns, attracting healthy inflows from investors on a quest for income.
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No turning point in sight yet: European real estate investors remain bullish
Investors are facing an ever growing number of unknowns in the real estate market.
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Asset Manager News
Schroder UK Real Estate fund completes purchase of Staycity Hotel in West London for £32.4 million
Schroder UK Real Estate Fund has completed the £32.4 million purchase of two purpose built serviced apartment buildings at the high profile mixed-use development, High Point Village, Hayes in West London.
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Asset Manager News
UBS Asset Management's Global Real Estate business undertakes EUR 7.1 billion in transactions in 2015
UBS Asset Management’s Global Real Estate business conducted EUR 7.1 billion of transactions in 2015, compared to EUR 6.0 billion in 2014.
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White papers
UK Real Estate Outlook: 1H16
Expectations for UK economic growth have undergone some fairly significant downward revisions over the past six months.
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Ausblick: Schweizer Immobilienmarkt 1H16
Die Talsohle scheint durchschritten und eine leichte Wachstumsbeschleunigung wird für 2016 erwartet. Die Belebung der Auslandsnachfrage nach Schweizer Waren und Dienstleistungen sollte diese Entwicklung unterstützen.
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White papers
Eurozone Real Estate Outlook: 1H16
The economic outlook for the eurozone has become increasingly polarized between the relatively positive domestically driven recovery, which drove GDP growth above expectations in 2015, and the decidedly negative global economic headwinds and geopolitical risks that have risen in prominence over the past six months.
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UK Debt Real Estate Market: February 2016 Update
Interest Rate Volatility, Fair Value and Underlying Portfolio Performance
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Time to Re-load? Current High Yield Bond Prices Present Long-Term Value
Global risk markets have been under pressure lately due to a confluence of factors—weakness in China and other global economies, plunging oil and commodity prices, and the onset of the removal of monetary accommodation by the U.S. Federal Reserve.
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White papers
An unconstrained credit solution to answer market complexity
The Euro High Yield asset class / strategy has gained ground in the past three years versus its US counterparts. The sector grew over three times in terms of notional during that period.
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White papersGlobal high yield multi-credit strategies: Finding sense in a nonsensical world
With 40% or more of the Eurozone sovereign debt market offering negative yields, a new investor to the global debt markets may well be thinking he has wandered into the Mad Hatter’s tea party.
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Asset Manager NewsCroydon’s new quarter taking shape with consent for 250,000 sq ft second office
Consent has been granted for a second landmark office building at the 2m sq ft Ruskin Square development in Croydon.
