All Property Management articles
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VideoWhich property types benefit most from falling interest rates?
In our latest video, we break down how different commercial real estate sectors respond to declining interest rates—and why it’s not as simple as it seems.
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White papersAlt+Shift: Expanding Options In Alternative Property Types
Two to three decades ago, access to alternative property types was largely limited to indirect investments through the public REIT market.
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White papersEuropean Real Estate: Let the Recovery Commence
The pace of the recovery in the European real estate market will likely depend on variations in debt funding gaps by location and property type. The Barings Real Estate team discusses how this is shaping opportunities across the market.
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Asset Manager NewsEdR REIM expands portfolio with EUR 70 million acquisition of four key industrial properties
Edmond de Rothschild Real Estate Investment Management (“EdR REIM”) has acquired 4 properties with a market value of EUR 70 mln for its Euro industrial real estate strategy over the course of Q4 2023.
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White papersExpert Q&A: Real estate debt; a compelling asset class in tough times
In this article originally published by Private Debt Investor magazine, Natalie Howard, Head of Real Estate Debt, Schroders Capital, insists it’s a great time to consider the property lending sector, with the banks pulling back and the competitive environment favourable to lenders.
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Asset Manager NewsOrchard Street completes repositioning of West London industrial assets, doubling rental income
Orchard Street Investment Management (‘Orchard Street’), the specialist commercial property investment manager, has completed 12 separate asset management initiatives across 150,000 sq ft of multi-let industrial accommodation at its 215,000 sq ft West Drayton, London estates. As a result, both the contracted rental income and average lease lengths have more than doubled over the last 18 months.
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White papersEuropean Real Estate: Late-Cycle Value from Manchester to Munich
Can value still be found (or created) ten years into the European property market cycle? And if so, which sectors, geographies and risk profiles look most compelling? Barings’ Charles Weeks weighs in.
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Asset Manager NewsCVA's could bring new opportunities to Top UK towns
The retail market has had its fair share of disrupters. The change in consumer trends, technology and the number of Company Voluntary Agreements and administrations, are continuing to have significant effects on the market.
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White papersResponsible property investing report
At Principal, being socially responsible is central to who we are as a company. Our focus on environmental, social, and governance (ESG) considerations is a core aspect of our fiduciary duty to clients and investors.
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White papersConnecting the dots to financial performance
A recent partnership between Principal Real Estate Investors and the U.S. Department of Energy (DOE) helps lay the groundwork for the industry’s long-term understanding of the link between sustainability, improved financial performance, and value.
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Asset Manager NewsOrchard Street fully lets speculative Maylands Point warehouse development
Orchard Street Investment Management (‘Orchard Street’), the specialist commercial property investment manager, together with leading industrial developer, Chancerygate, has let two high quality warehouse/distribution units prior to practical completion at its Maylands Point development in Hemel Hempstead.
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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.
