All Real Estate articles – Page 71
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Asset Manager News
AIA and GLP Form Global Strategic Investment Partnership
AIA Group Limited (“AIA”; or the “Company”; stock code: 1299) today announces that it has formed a strategic partnership with GLP to invest in the global logistics real estate industry and related opportunities.
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Asset Manager News
Nuveen Real Estate launches third UK debt strategy, securing c. £140 million in initial commitments
Nuveen Real Estate, one of the largest real estate investment managers globally, has completed the first close of its third UK debt strategy, having secured c. £140 million in initial commitments.
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Asset Manager News
Hazelview Confirms Additional Commitments for Affordable Housing in Ottawa
Hazelview Investments (Hazelview) is confirming additional changes to its commitment to the residents of the Heron Gate community, following the City of Ottawa Planning and Development Committee approval of an Official Plan Amendment on August 26, 2021. The plan will go before Ottawa City Council on September 8, 2021.
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Video
When Offices and Shops Re-Open, Is the 5G Story Over?
Working and shopping from home during the pandemic highlighted the importance of 5G connectivity. But the pandemic only accelerated a trend that has been underway for years. Far from being over, the 5G story is only just beginning.
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White papers
Keeping Real Estate Portfolios Above Water Amid Rising Sea Levels
As investors increasingly turn their attention to climate risks, concerns about global sea level rise are more frequently influencing investment decisions in real estate markets. The Barings Real Estate team discusses how to measure, analyze and mitigate such risks.
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Asset Manager News
PATRIZIA invests in EUR 52 million Barcelona Build to Rent development
PATRIZIA AG, a leading partner for global real assets, has forward purchased a Build to Rent turnkey development in Badalona and Esplugues de Llobregat, in the greater Barcelona area, for EUR 52 million, on behalf of its institutional clients.
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White papers
Australia - a market awaiting a strong return
The covid-19 pandemic derailed a generation’s economic progress by sending the Australian economy into a technical recession in 2020. A renewed lockdown in New South Wales this year may produce another quarter of falling GDP.
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Asset Manager News
Generali Real Estate acquires core logistics park in Poland, Gdansk area
Generali Real Estate has completed the acquisition of 7R Park Gdansk II, a core logistics park in Poland, located in Kowale, Gdansk area, on behalf of the pan-European “Generali Real Estate Logistics Fund” (GRELF) fund managed by Generali Real Estate S.p.A SGR. The seller of the asset is 7R SA.
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Research Report
Real Estate Outlook – Edition 3, 2021: Undertows diverge by sector
Strong economic recovery, but Delta variant poses a threat. Office and retail sectors continue to have hardships, but more dynamic sub-segments have upside surprise factors. Post-pandemic pent-up demand is supporting the multifamily sector. Logistics continues to outpace expectations and is expected to have staying power.
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Asset Manager News
Edmond de Rothschild REIM to develop £50 million build-to-rent development on Gateshead waterfront
Edmond de Rothschild Real Estate Investment Management (REIM) has acquired a prime waterfront site in Gateshead for a £50 million build-to-rent development.
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White papers
European commercial real estate: play the re-opening with quality assets
The European economy is emerging from its worst economic slump since the Great Depression. As the vaccine rollout progresses quickly across the continent, mitigation measures and travel bans are being lifted, allowing growth to revive. As the European economy recovers, the real estate sector should join the rebound after a tough year, although the pace of this recovery will be uneven across sectors and subsectors.
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White papers
European Real Estate: To Build or Not to Build?
Higher build costs and longer construction periods pose a potential headwind for profits. But in select markets, developers have the ability to charge a premium rent and potentially exceed required returns.
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White papers
Retail – a post-pandemic lease of life?
2020 was considered the retail sector’s annus horribilis as COVID-19 led to a global consumption shock as shops closed their doors because of national lockdown policies.
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White papers
The More Things Change, the More They Stay the Same
Core CMLs can offer a number of benefits to insurance investors—from a material spread premium over similarly rated corporates, to low historical defaults and delinquency rates, to diversification.
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Research Report
Managing risk amid uncertainty with commercial real estate debt
The healthy appetite for commercial real estate (CRE) debt from investors around the world continues. Not a single investor wanted to reduce their exposure to debt, according to the 2020 INREV/ANREV/PREA survey covering CRE debt vehicles.
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White papers
How to build an office: Post-pandemic
Watch our video to find out how offices can provide a powerful tool in boosting productivity, and attracting and retaining the best talent.
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Asset Manager News
Save the planet. Invest (responsibly) in property.
Long term investing in real estate has long been recognised as providing an important role in diversifying risk in a multi-asset portfolio – not only does it offer an attractive level of income but also a degree of inflation hedging.
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Asset Manager News
GLP Publishes Global 2020 ESG Report
GLP announced today it has released its 2020 Global Environmental, Social and Governance (ESG) Report, demonstrating the firm’s ongoing commitment to sustainability through its expanded ESG policy and initiatives.
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White papers
The complexity premium in real estate debt
The withdrawal of banks from property debt markets has sharpened the appeal for investors, who can benefit from both an illiquidity premium and the less widely understood “complexity premium”.
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White papers
What are the risks in high yield real estate debt?
The high returns of high yield real estate debt are attracting more and more investors. For investors less familiar with the asset class, we explain the key risks and how to manage them.