All Europe articles – Page 19
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White papers
European Real Estate markets – seeking a new equilibrium
The extraordinarily low-interest rate environment that saw markets expand in the wake of the global financial crisis (GFC) is a remarkable anomaly.
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Asset Manager News
Green Energy Fund KGAL ESPF 4 completes investment phase with EUR 1.3 billion. Successor ESPF 5 increases return forecast.
Independent investment and asset manager KGAL has invested a total of EUR 1.3 billion – of which EUR 750 million is equity – for its KGAL ESPF 4 fund.
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Asset Manager News
Hines Anticipates Exceeding Target Fund Raise for HEVF 3
Hines, a global real estate investment, development and property manager, has raised an additional €305 million of equity from institutional investors for the Hines European Value Fund 3 (HEVF 3).
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Asset Manager News
Infranity provides substantial financing to support growth of leading German renewable energy developer MaxSolar
Infranity, one of the largest infrastructure debt investment specialists in Europe and part of Generali Investments, is delighted to have participated in a leading role together with a small club of institutional investors in the financing of €410m to support the expansion of MaxSolar, a leading German renewable energy developer and EPC service provider for solar PV systems.
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White papers
Real estate debt lending - global whole loan market opportunity
Whole Loans, an established strategy in the US and increasingly adopted in Europe, offer attractive risk-adjusted returns to investors with appetite for slightly higher Loan-to-Value (LTV) ratios relative to senior lending.
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White papers
Panel discussion - Investing in life sciences: venture capital global trends and forecasts
Theme 1: Life sciences venture capital funding picture:
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White papers
Forging sustainable investments in European leveraged finance and CLOs: Part 1
In the past two years, the proportion of European assets under management with an ESG overlay (as measured by funds that are categorised as Article 8 and 9 under the Sustainable Finance Disclosure Regulation, or SFDR) has risen to nearly 60%.
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White papers
Appraising Swiss bonds: what does price tell us?
Unlike equity prices, bond prices usually depend on elements beyond the fundamental valuation of the underlying entity. In fact, the price on its own typically says little.
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White papers
Locating the sweet spot in direct lending
On top of a compelling return, the northern European lower mid-market senior secured segment offers less downside risk and one of the best legal environments to negotiate any restructurings.
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White papers
Navigating rising distress levels in leveraged loans
A direct lending strategy focused on the northern European senior secured segment offers one of the best protected high yielding opportunities at the present time, says Laura Vaughan, Head of Direct Lending.
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White papers
Financing the energy transition - Thought Leadership
Energy security and climate change are driving an unparalleled economic shift in the energy sector worldwide, and reshaping the investment landscape for green energy credit.
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White papers
Infrastructure remains resilient despite macro challenges
Will infrastructure remain resilient as monetary policy tightens, interest rates rise and the war in Ukraine stretches into its second year?
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Asset Manager News
PRIMONIAL REIM completes the first stage of the acquisition of Icade’s stake in ICADE SANTÉ for €1.4 billion
Following the exclusivity agreement signed on March 13th, 2023, Primonial REIM is announcing today the closing of the first phase of the acquisition of 64% of Icade’s stake in Icade Santé for €1.4 billion
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Video
Transacting in a value-add strategy
What is PATRIZIA’s approach to deal-making in a value-add strategy? Why has our transactions strategy in the PATRIZIA TransEuropean series been successful? And what capabilites do you need for a successful value-add strategy?
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White papers
US vs European credit: which is more attractive?
Value had a decent 2022 while growth lagged across equity markets. This continued until March 2023, but that trend has recently been reversing. This trade-off is often associated with the relative performance of US and European stocks: US is quality growth and Europe is value, so to speak. In this weekly edition of Simply put, we ask: does the same dynamic apply in credit markets?
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White papers
Tackling short-term challenges and the long-term goals of sustainable investing
Climate, geopolitics and macroeconomic factors combine to make instability a constant rather than a break from the norm – at least for a while. We believe sustainability remains the best long-term prism to understand crisis factors and anticipate a low-carbon, environmentally sustainable and inclusive economy. Challenges may be interconnected, but so are the solutions.
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White papers
Insurance Fixed Income Outlook: Transition to more liquid assets
European Insurance companies started 2023 with high solvency ratios and a good outlook to improve their underlying profitability thanks to strong rate increases in reinsurance, and commercial P&C, while 2022 prices increases in retail P&C are slowly mitigating inflation.
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Asset Manager News
PATRIZIA Client Survey 2023: Institutional investors increasingly focused on value creation through decarbonisation initiatives and ESG data collection
PATRIZIA has released the real estate trends from its third annual investor survey.
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Asset Manager News
PATRIZIA Client Survey 2023: Institutional investors continue to expand infrastructure allocations with a focus on green energy transition
PATRIZIA has released the infrastructure trends from its third annual investor survey.
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Video
The European living sector
Shortage of supply and too much ageing, poor-quality existing stock, is creating a rare opportunity for institutional capital to help boost supply, improve existing assets and earn investors an attractive, inflation-linked return while having a positive social impact.