Latest Manager Research – Page 471
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UK’s Big Six office markets: emerging from London’s shadow
Britain’s ‘Big Six’ office markets – Birmingham, Bristol, Edinburgh, Glasgow, Leeds and Manchester – are emerging from the shadows to offer a serious challenge to London.
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Russell Indexes: The quest for the Holy Grail
A short Q&A with Rolf Agather, Managing Director of Research & Innovation for Russell Indexes at Russell Investments.
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Edmond de Rothschild: Global Value - A global vision with a local approach
Edmond de Rothschild Asset Management has been active in value investing for more than 15 years and as such has genuine expertise in this field.
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Search for alternative investment strategies forces European investors to accept more risk
The current low interest rate environment is having an increasing impact on the investment decisions of European players. Massive demand for safe investments is making core properties expensive and scarce.
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Scottish Widows Investment Partnership: Does your fund manager have limitations?
How investment teams can ensure portfolios reflect collective alpha
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LGM Investments: The Search for Quality at a Reasonable Price
Emerging market stocks can exhibit balance sheet strength, attractive valuations and an increasing ability to pay out dividends, offering long-term investment options for sophisticated investors as part of diversified investment portfolios.
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Latam 2014: investment opportunities, even with tapering
The last twelve months have not been a blockbuster for emerging markets, Latin America included. As of end-October 2013, the MSCI LatAm Index had fallen 9%, versus an average 16.6% gain in the global equity markets that was mainly focused on developed markets and led by the US market – ...
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Global strategy – 4Q13: Calling time on prime?
Amid growing signs of stronger growth for both the US and global economy, investors are anticipating an eventual tapering of the US Federal Reserve’s (Fed) quantitative easing policy.
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UK commercial real estate market
In the last outlook paper in 1H13, we suggested there were signs that the UK economy was stabilizing. Since 2Q13 there has been a raft of improvements in key economic indicators over the summer months.
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The Big Payback, volume 2 - Easier said than done
The debt burden facing the commercial real estate industry since the beginning of the crisis five years ago is very much alive.
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Ecommerce impacts on the global listed property market
The Internet economy is rapidly evolving. As investors in publicly traded real estate securities, Heitman has analysed the implications of the Internet for retail and logistics properties and attempted to find investible themes stemming from this disruptive structural change
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The case for investing in affordable housing
The research case for investing in affordable housing
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ECB Lifeline to Banks Means Real Estate Lending Market Is Still Wide Open
There is a deep structural change occurring in the European CRE lending market, with insurers and specialized loan funds readying themselves to fill part or all of the gap left by receding bank mortgage lending in the sector.
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White papers
THE CASE FOR BRAZIL
Brazil is the current powerhouse of Latin America. In terms of economic size, stability and population growth, Brazil has emerged with a reputation as a strong, well-managed destination for investment capital.
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The search for growth: Germany and Poland seen as winners of the debt crisis
The debt crisis in Europe is turning into a stress test for European property markets – and forcing investors to recalibrate their investment strategies.
