All Global articles – Page 149
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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
Preferred Securities: an Oasis in the Fixed Income Desert?
Following the global financial crisis, the restructuring and recapitalization of financial firms have made banks and insurance companies an attractive sector for fixed income investors.
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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.
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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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White papers
'It's not quite 2007, but stay vigilant' by Richard Croft as published in Estates Gazette
Richard Croft talks on investment, learning from mistakes, ‘new normal’ and over-confident deals.
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White papers
Why should institutional investors consider global private equity real estate?
For many years, investor motivations for considering real estate have included its characteristic stable income, strong historical relative performance across multiple cycles, and potential diversification benefits when held with other asset classes in a portfolio.
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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
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
Global 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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White papers
Market Report: Aviation H1 2016
Continuous growth and oil prices at their lowest level since 2004 are creating an encouraging climate for the aviation sector.
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People News
Bouwinvest Appoints Friso Berghuis as Manager Global Listed Real Estate
Institutional real estate investment manager Bouwinvest, has appointed Friso Berghuis as Manager Global Listed Real Estate, with effect from March 1st.
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White papers
Investments in Renewables: Survey of Institutional Investors 2015
The fundamental importance of energy transition is becoming ever more evident. Only ambitious energy policy objectives and sustained global effort in implementing them will restrain multiple ill effects on the environment from fossil fuels.
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Asset Manager News
Bouwinvest Funds maintain highest achievable GRESB-score: Green Star
All three of Bouwinvest’s Dutch real estate funds open to third-party investors have once again been awarded a Green Star, the highest achievable category, within the GRESB 2015 international sustainability benchmark results, announced on September 2nd.
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White papers
Global Real Estate Securities – 2015 Performance Review and 2016 Market Outlook
2015 was a challenging year for the broader markets overall as macro-economic and political events dominated news headlines causing lackluster investment performance across most asset classes around the world. The collapse in oil prices (-30.5%) played havoc on countries and currencies reliant on energy exports.
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White papers
Key risks for global real estate in 2016
Aided by extremely loose global monetary policy, capital values have experienced a strong recovery since the crisis. We believe this period of very strong capital growth has largely run its course and the window to capture significant yield compression is passing quickly, says Sandip Bhalsod.
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People News
UBS Asset Management’s Global Real Estate business appoints Paul Guest as Lead Real Estate Strategist
UBS Asset Management’s Global Real Estate business has appointed Paul Guest as Executive Director, Lead Real Estate Strategist.
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White papers
Outlook 2016: Global Real Estate Securities
The potential for higher interest rates in 2016 is unsettling some investors, but we believe the right real estate securities are supported by a number of other factors.
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White papers
Global Core Pricing
Given varying dynamics in the three major regions regarding commercial real estate pricing, it is easier to speak at the individual region level.
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Asset Manager News
UBS Asset Management achieves top results in inaugural 2015 GRESB Debt Survey
London, 6 November 2015 – UBS Asset Management’s Global Real Estate (GRE) business, which manages two real estate debt funds, are delighted to announce that the funds have ranked 1st and 2nd in the inaugural 2015 GRESB Debt Survey, which measures the sustainability performance of real estate debt funds globally.