All REIM articles – Page 49
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White papers
Decarbonising the built environment
We assess the financial and environmental pros and cons of developing new buildings versus retrofitting old ones.
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White papers
The Case for US Real Estate Debt
Private commercial real estate debt (CRE debt) is an income-focused, downside-mitigated strategy that has historically experienced little correlation to real estate equity. Among its virtues are a track record of relatively low volatility strategy and potential for upside in a rising rate environment.
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White papers
Monthly Research Report: February 2023
Average Quality Returns Not Consistenly Higher Than Prime
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Asset Manager News
GLP Capital Partners maintains strong fundraising momentum across strategies in 2022
$12.3 billion in equity commitments raised across real asset and private equity strategies
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White papers
Joint interview with Markus Benzler and Jochen Mende on private equity and secondaries
Why consider investing in private equity (PE) now?
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White papers
Technology investment in the built environment and the path to net zero
The transition to net zero will almost certainly be one of the most significant capital outlays in history. A 2022 report from Goldman Sachs noted that Electrification ‘is poised to revolutionise European Economies and our everyday lives’ and that this effort would ‘need to mobilise €3.7 trillion of capital, most into green energy infrastructure, to develop renewables, upgrade power grids, refurbish buildings and to support the switch to electricity for mobility real estate and manufacturing.’
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White papers
No time but the present for value-add investing
These are, it has to be said, dramatic times. No sooner than most of the world was starting to emerge from the long shadow of the Covid-19 pandemic, it was confronted with another crisis. As a result of Russia’s illegal invasion of Ukraine, energy costs started spiralling last year, causing havoc in economies worldwide. Inflation was already going to be an issue, but the war - by far the largest in Europe since World War II - made the situation far worse.
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White papers
Greater possibilities together as responsible investors
Institutional investors are increasingly seeking investment strategies that produce positive environmental, social & governance (ESG) outcomes while also delivering sustainable returns.
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White papers
Secular tailwinds creating infrastructure debt opportunities
Infrastructure debt remains an attractive opportunity despite a challenging economic outlook that could bring with it an increase in credit market defaults, argue David Cooper, Head of EMEA and Australian Infrastructure Debt and Jacob Otto, Director, Debt Product Specialist of IFM Investors
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White papers
The case for net lease/sale leasebacks in Europe
2022 was no doubt a challenging year the European economy and European commercial real estate (“CRE”). Investors and occupiers have had to adjust quickly to a new regime of higher financing costs, lower liquidity and slower economic growth.
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Asset Manager News
Strong growth in AUM to EUR 59.1bn (+21.6% y-o-y) in FY 2022 demonstrates resilience of PATRIZIA’s real asset investment management platform
FY 2022 preliminary financial results: Real Assets AUM and product offering further diversified with now close to 15% of Assets under Management (AUM) in the infrastructure sector with further strong growth potential and more than 11% of AUM outside of Europe, especially in Asia-Pacific and North America
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Asset Manager News
KGAL sums up 2022 – a year of surging interest rates and exceptional performance
KGAL, a leading independent investment and asset manager, sums up its performance in 2022 and despite inflation, interest rate turnaround, energy crisis – KGAL passed the tests of 2022 with flying colours. New business volume reached almost €1.9 billion across all asset classes.
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People News
Rai Katimansah joins SC Capital Partners as Managing Director
SC Capital Partners Group (“SC Capital Partners”) has hired Mr. Rai Katimansah as Managing Director.
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White papers
LaSalle Investment Management – insights into value investing in Europe
Our insight report into value investing in Europe highlights the importance of expertise and experience in investing in today’s real estate markets, which are characterised by an abundance of unmeasurable uncertainty over quantifiable risk.
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White papers
Keynote interview: The great renewables opportunity
In this article originally published by Infrastructure Investor magazine, Richard Nourse, managing partner at Schroders Greencoat, says renewables represent one of the fastest growing and most exciting aspects of the infrastructure universe and provide secure – often inflation-linked – income
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White papers
Expert 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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Video
Balance of Power Full Show
“Bloomberg: Balance of Power” focuses on the intersection of politics and global business.
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Asset Manager News
Freeports will help the UK re-shore key manufacturing capability
The Government has just launched the UK’s first freeports, an important moment in history for the economic growth of the country post-Brexit. Freeports will bring in millions of pounds in investment and thousands of highly skilled jobs, turbocharging local economies and the whole of the UK.
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White papers
ISA Briefing: Energy back as key in real estate outcomes
We property strategists are accustomed to working with traditional real estate variables such as net absorption, rental growth and vacancy rates. But in the early days of the COVID-19 pandemic, there was no choice but to go on a crash course in previously unfamiliar epidemiological concepts like positivity rates, R-naught¹ and vaccine effectiveness, as these suddenly became drivers of short-term real estate conditions.
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White papers
Real Estate Convictions: Asset Manager’s View of the European Real Estate Markets
2022 saw a more pronounced than expected global slowdown, due to Russia’s invasion of Ukraine, rising inflation, a tightening of financial conditions and the persistence of the Covid-19 pandemic in China.