All Europe articles – Page 100
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White papers
Investment Case for UK PRS
The UK private rented sector (PRS) has doubled in size in the past decade and is now increasingly attracting the attention of pension funds, insurers and other institutions.
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Asset Manager News
UBS Triton Property Fund continues to generate strong levels of outperformance for investors
UBS Asset Management’s Global Real Estate – UK business announces that its UBS Triton Property Fund has strongly outperformed its benchmark, the AREF/IPD UK QPFI All Balanced Fund Index (Weighted Average), by 1.1% over the three year period.
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White papers
Is the New GICS Sector Worth $100 Billion?
In a fitting time almost 25 years after the Kimco IPO kicked off the start of the modern REIT era, the Real Estate sector has matured enough to garner a home of its own.
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White papers
Basis Trade at Index Close (BTIC) Trading at Index Option Expirations
Most index options traders use index futures for hedging purposes.
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Asset Manager News
M7 acquires 23 German retail properties post the final close of fully invested German retail fund EREIP I
M7 Real Estate announces that it has acquired 23 retail assets across Germany for a consideration of €43 million on behalf of M7 European Real Estate Investment Partners I.
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White papers
Automation and Real Estate – the rise of the machines
This paper considers the impact of computing and robotics advances on the workforce and how this will influence real estate markets.
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Asset Manager News
KGAL acquires DOCK office building in Dusseldorf’s Medienhafen
KGAL Group acquires additional property for real estate special alternative investment fund (AIF).
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White papers
Real estate impact of the migrant crisis
Europe is currently experiencing migration on an unprecedented scale. This paper looks at consequences for German real estate.
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Asset Manager News
M7 Real estate acquires 26-asset Omega portfolio
M7 Real Estate Ltd announces that it has completed the acquisition of a portfolio of industrial, office and retail assets across the UK from Goldman Sachs on behalf of M7 Real Estate Investment Partners V Ltd.
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White papers
Tomorrow's office markets
Not all UK cities are equally well equipped to cope with 21st century economic conditions, in particular the ongoing shift to a knowledge-based service economy facilitated by technological developments.
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Asset Manager News
Invesco Real Estate bags Designer Outlet Centre in Wolfsburg for BVK
Invesco Real Estate is delighted to announce the acquisition of the Designer Outlet Centre in Wolfsburg, northern Germany on behalf of its separate account client Bayerische Versorgungskammer.
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Asset Manager News
M7 secures full occupancy at Imperial Park, Linwood
An M7 Real Estate joint venture vehicle announces that it has secured the letting of the last available unit at its 90,646 sq ft industrial site, Imperial Park in Linwood to Supply Technologies Ltd.
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Asset Manager News
M7 acquires 1 million sqft Netherlands office industrial portfolio
M7 Real Estate announces that it has acquired a portfolio of 17 assets across the Netherlands on behalf of its latest European investment fund, M7 European Real Estate Investment Partners III.
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People News
M7 appoints David Simmonds as Chief Financial Officer
M7 Real Estate Ltd announces that it has appointed David Simmonds as Chief Financial Officer.
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White papers
The Opportunity of REITs: Thinking Beyond Stocks and Bonds
Real Estate Investment Trusts (REITs) add diversification and can reduce volatility in investment portfolios, complementing traditional assets while capturing the benefits unique to real estate.
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White papers
European Real Estate Market: Brexit Update (April 2016)
A vote to remain continues to be the more likely outcome and GRE research believes that the likelihood of this has increased marginally after Cameron achieved his reforms in Brussels.
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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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White papers
Perspective: Global Volatility, The Real Economy, and Real Estate
Bouts of financial market volatility likely to return
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Asset Manager News
Timbercreek launches balanced REIT portfolio
New UCITS fund invests in preferred securities of U.S. REITs and common equity of global REITs
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White papers
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.