All Investment Strategies articles – Page 3
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VideoJane Wadia, Head of Investment Specialists on 'Engagement in fixed income'
AXA IM has managed fixed income portfolios through economic ups and downs for decades.
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White papersThe evolution of the European mortgage market
Residential mortgage markets in the UK and Europe are undergoing a period of transformation as new funding models emerge and new players enter the mix, following in the footsteps of the Dutch mortgage market. Long-term institutional capital, in search of attractive returns and diversification potential, is playing an increasingly important role, with the entry of innovative, non-bank lending platforms helping to disrupt the status quo and create a more diversified lending landscape.
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White papersMacroeconomic Picture - February 2022
In 2022, the US economy will face a progressive deceleration in economic activity, hovering above trend first and eventually converging to potential in 2023. Activity indicators are pointing to a notable deceleration at the end of Q4 and start of Q1 (in part Covid-related), which we expect to be short-lived.
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White papersResearch Blast: COVID-19 European Office Markets Series, Edition 1 – April
Within a matter of weeks, COVID-19 has caused an unprecedented level of disruption to all asset classes. Office real estate markets are by no means immune to this, but due to the illiquid nature of the asset class it will be several months, if not longer, before the true impact is fully reported through data.
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White papersEuropean Real Estate Equity: Uncovering Value City by City
Amid an uncertain macroeconomic backdrop, attractive value can still be found within European real estate—but it is important to consider sector and geography, and to partner with an active manager who has the flexibility to invest across different strategies and styles.
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White papersFactor Investing In European Offices Smart - Smart Beta Compared To Traditional Styles Q2 2019
In this report, we apply our new factor investing approach to close to 40 European office markets for the first time. This framework quantifies factors such as Volatility, Liquidity, Quality, Value, Yield and Growth. A comparison of our factor investing results to the traditional “core” and “value-add” investment styles is also provided.
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White papersESG and real assets: A matter of balance
Assessing ESG risks within real asset investments is far from straightforward. Mark Versey and Stanley Kwong use five case studies to illustrate the balance of ESG risk factors that affects investment decision-making, beyond simply trying to be ‘green’.
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White papers
Top 10 with… Interview with Benoit Delaby on Real Estate Customized Mandates
The growing appetite for real estate among Ultra High Net Worth (UHNW) investors has grown intensely over the last decade. In the midst of a changing market, the Real Estate Customized Mandates (RE-CM) business is creating tailor-made investment solutions in real estate for private clients. Benoit Delaby, Head of RE-CM, explains to us how.
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White papersResponsible property investing 2018
We have been benchmarking the RPI performance of our funds for many years, with our involvement in the Global Real Estate Sustainability Benchmark (GRESB) survey growing over that time.
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White papersThe ignis fatuus of monetary easing in Asia Pacific
As monetary policy in most of Asia Pacific remains or turns more accommodative, real estate pricing and volumes are expected to dance sideways this year. In late cycle markets, the ignis fatuus of continued capital growth may prove to be misguided.
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White papersThe ignis fatuus of monetary easing in Asia Pacific
As monetary policy in most of Asia Pacific remains or turns more accommodative, real estate pricing and volumes are expected to dance sideways this year. In late cycle markets, the ignis fatuus of continued capital growth may prove to be misguided.
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Asset Manager NewsInsights - Real Estate March 2019
As we move further into spring, thoughts turn to the direction markets and trends will take. Despite the initial uncertainties, there are many positive avenues to explore both for active asset management and investment opportunities, all of which raise value and generate attractive returns in the long run.
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Asset Manager NewsReal Estate House View - Europe
Investors are relatively unimpressed by the slowing in economic dynamics. Attractive risks spreads compared to other asset classes are keeping up the interest in European real estate and hence also the volume of transactions.
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Asset Manager NewsReal Estate House View - Switzerland
Swiss real estate investments remain popular among investors. The attractiveness of the high risk spread seems to be clouded neither by structural changes in the office and retail sector nor by vacancy rate increases in the residential sector.
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White papers'Mastering the real estate cycle'
The cyclicality of real estate creates opportunities for well-informed investors. However, determining where a market is in the cycle can be difficult, so we have developed a tool that can help investors overcome this challenge.
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White papersReal Estate Summary – Edition 1, 2019 Paper and Video
Downside risks rise and correction in retail sector evident, while paring back in monetary tightening to support real estate valuations
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Asset Manager NewsUBS Asset Management and APG Asset Management establish a new real estate investment club focused on the Japanese multi-family market
The Japan multi-family investment club has secured USD 175 million commitment from APG Asset Management as a strategic partner The strategy seeks to capitalise on the compelling supply-demand dynamics in key Japanese multi-family sub-markets predominantly through a build-to-core strategy
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Asset Manager NewsExposé Real estate investments in Switzerland
Underlying real estate market conditions still attractive
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Asset Manager NewsUBS Asset Management closes second infrastructure fund-of-funds with EUR 368 million of commitments
APPIA II Global Infrastructure Portfolio seeks to provide a broad based exposure to the asset class with a focus on Europe and North America
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White papersOpportunity amidst converging returns and shrinking risk premia
In the early months of 2018, economic fundamentals are supportive of another solid year of real estate performance. But monetary conditions are tightening and our central preoccupation persists: how will this affect the risk premium for real estate?
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