All Portfolio Management articles – Page 8
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Asset Manager NewsPATRIZIA acquires another major retail portfolio
PATRIZIA Immobilien AG has acquired a top-value portfolio with more than ten spacious retail properties for over EUR 200 million.
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Asset Manager NewsPATRIZIA receives a mandate for over EUR 400 million from BVK
PATRIZIA Immobilien AG has received a mandate from Bayerische Versorgungskammer (BVK) to act as investment manager for over EUR 400 million.
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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
No turning point in sight yet: European real estate investors remain bullish
Investors are facing an ever growing number of unknowns in the real estate market.
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Asset Manager News
SC Investment Management Granted Singapore Capital Markets Services License
SINGAPORE, Nov. 24, 2015 / SC Capital Partners Press Release — SC Investment Management Pte Ltd, an affiliate of SC Capital Partners, a real estate private equity platform that invests across the Asia-Pacific region, has been awarded a Capital Markets Services licence by the Monetary Authority of Singapore to provide ...
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Asset Manager News
Union Investment rejuvenates real estate fund portfolio
Union Investment is stepping up the turnover rate in its real estate fund portfolios.
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White papers
Magnify: Opportunities in the European logistics sector
Eurozone sentiment indicators, such as consumer confidence, have been continuously improving since the second half of 2013, as has occupier demand for industrial property.
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White papers
Investment case: The UK private rented sector (PRS)
The UK private rented sector (PRS) has doubled in size in the past decade and is now starting to increasingly attract the attention of institutional investors.
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White papers
Opportunities in Asia: Japan's residential sector
Japan boasts the biggest real estate market in Asia, offering investors maturity, transparency and low volatility of returns. That, coupled with a recovering economy, has fuelled investor interest.
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White papers
Investment case: Asia Pacific core real estate
The Asia Pacific (APAC) real estate market has grown into the largest in the world, offering increasingly high levels of maturity, transparency and liquidity.
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White papers
UK house prices: how serious is the risk of overheating?
The UK housing market has rebounded over the past 18 months, earning strong returns for investors but also prompting some commentators to express concerns about the risk of overheating.
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White papers
Why rate hikes shouldn’t yield trouble for UK real estate
Against a backdrop of widely expected UK interest rate rises, this paper seeks to determine the implications for the real estate market.
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White papers
Aviva Investors - Market Edge August 2014: Recovery continues despite stalling economy
Despite the weak economic recovery, investors’ confidence has improved, says Chris Urwin at Aviva Investors.
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White papers
Aviva Investors - Market Edge August 2014: UK real estate: cycle quickens
Real estate to deliver promising returns but fnding value is more diffcult, says Chris Urwin at Aviva.
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White papers
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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White papers
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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White papers
The case for investing in affordable housing
The research case for investing in affordable housing
