All Real Estate articles – Page 69
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White papersReal estate living: A key opportunity of the next cycle?
While living sectors are not immune to the impact of rising interest rates, long-term rental growth prospects remain attractive. Housing is a fundamental need, and the UK’s housing shortage is palpable. Current pressure on yields could therefore create a key buying opportunity.
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Asset Manager NewsPATRIZIA flagship fund, PanEuropean, reaches EUR 1 billion GAV milestone following acquisition of French logistics portfolio
PanEuropean reached this milestone following the acquisition of three logistics assets in France on behalf of its institutional clients.
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White papersA safe haven in a storm; Real Estate investment across sectors
How taking a global view of real estate is a buffer to the volatile public markets
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Asset Manager NewsPATRIZIA portfolio company Kinland acquires EUR 76 million social infrastructure portfolio, strengthening position as a leading provider of preschools in the Nordics
Kinland is to acquire a high-quality portfolio of 28 social infrastructure properties in Finland
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Asset Manager NewsGenerali Real Estate grows its portfolio in Frankfurt with the completion of two office buildings acquisitions
Generali Real Estate strengthens its presence in the Frankfurt real estate market, with the completion of the acquisitions of two important office and commercial assets, both on behalf of the pan-European fund “Generali Europe Income Holding” (GEIH), managed by Generali Real Estate S.p.A Società di gestione del risparmio and reserved for professional investors: the k26 building, in Frankfurt’s banking district, and the 10tral building, in the heart of the city center.
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PodcastRedevCast episode 5 available now
Take some time this coming holiday season to listen to the the fifth episode of our RedevCast, podcast series!
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White papersSlotting into Ireland’s ‘coolest neighbourhood’
In an increasingly competitive investment market, ‘cool’ can rule.
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White papersTop 10… Questions for real estate markets in 2023
A year ago, the world remained in the grips of the COVID-19 pandemic and the Omicron variant had just emerged. 12 months on and the pandemic has largely subsided, only to be replaced by a brutal war in Ukraine and inflation reaching multi-decade highs.
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VideoWhat does the ‘democratisation of private assets’ really mean?
This animated video shows why and how access to private assets is becoming more democratic.
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White papersOutlook 2023: Private assets
2023 is set to be difficult. We outline three things private asset investors can focus on to maximise resilience and optimise long-term return potential.
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White papersImpact of Rising Inflation on European Logistics Real Estate: Q3 2022
RECORD HIGH INFLATION IN THE EUROZONE: Europe, much like other parts of the world, is grappling with inflation levels not seen since the oil shocks of the 70s.
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White papersReal estate 2023 outlook
The themes for 2023 in real estate are driven predominantly by the continued fallout of surging inflation and interest rate hikes from central banks. While the general consensus is that monetary policies will start to ease in the new year, the impact it will have on real estate is yet to be fully felt.
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White papersPrivate Real Estate Investing Amid Macro Uncertainties
COVID has been a “black swan” event that severely disrupted a normal market cycle and our daily lives starting in 2020.
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White papersAge-Restricted Apartments: A Compelling Investment Opportunity
Age-restricted (AR) apartments appear to be an increasingly compelling investment opportunity within the residential real estate market.
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Asset Manager NewsUnion Investment and GARBE acquire Logistics Real Estate Portfolio in Italy
Union Investment and GARBE Industrial Real Estate GmbH (“GARBE”) jointly acquired a portfolio consisting of two new logistics buildings with a combined effective floor area of around 137,600 square metres in Italy from “HEVF 2 Italy A” fund invested by Hines, global real estate investment, development and property manager, and managed by Prelios SGR via an off-market transaction.
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White papersIPM – Edition December 2022
3Q22 was a challenging one for private markets. Spreads between risk-free rates have narrowed or even reversed, leverage costs have soared and the economic outlook has weakened further. In this environment, it is crucial existing portfolios are positioned against some of the headwinds we know are coming next year.
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White papersThe stories behind the numbers
While it’s obvious that companies comprise their numbers, less is known about the idiosyncratic factors that make companies special. RBC’s Global Equity team looks at some of the stories…
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White papersThe case for alternatives in uncertain markets
Investor demand for alternative real estate sectors in Europe continues to remain at record levels. Sectors once viewed as niche have established themselves as part of well diversified real estate portfolios, with specialised strategies such as student accommodation, build-to- rent, life sciences and healthcare now regularly featured among the top of investor’s sectoral wish-lists.
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White papersRising interest rates and inflation: What should private debt investors expect?
Five key questions for Sandrine Richard, Head of Private Debt at Generali Investments Partners. Sandrine Richard, Head of Private Debt at Generali Investments Partners, discusses the impact of rising interest rates and inflation on private debt investments as well as the approach to this increasingly important asset class at Generali Investments Partners.
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White papersCasting a wide quantitative net to access alpha in China
The vast size and changing dynamics of China’s A-share market offer a relatively untapped yet increasingly appealing opportunity for quantitative investing.
