All Research & Forecasting articles – Page 19
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White papersEuropean Research Monthly Update: February 2017
Executive Summary: Solid demand & supply fundamentals support rents
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White papersGlobal real estate returns likely to moderate in 2017
Deploying capital effectively will make the difference to real estate investment performance this year in a crowded market.
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Asset Manager News
European real estate investors prepare for extended market cycle
Low interest rates, low returns: a clear response is emerging to the question of how long the current market phase is likely to continue as European investors review their real estate strategies.
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White papersEuropean Research Monthly Update: January 2017
Executive Summary: Good relative value remains
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White papersCo-working space: the future of office demand?
Changes to working practises and business structures have major implications for the serviced office sector, presenting opportunities for real estate investors who understand the dynamics, argues Chris Urwin.
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White papersTrump presidency weighs on Asia-Pacific real estate
Concerns over a slowdown in Chinese economic growth have receded, but the rise of Donald Trump could present challenges for Asia-Pacific real estate markets, says Sandip Bhalsod.
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White papersUK real estate market commentary: December 2016
Although the UK economy performed better than expected in the six months following the EU referendum, it was very dependent on consumer spending. Turning to this year, consumption is likely to lose momentum, as inflation overtakes annual wage awards.
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White papersContinental European real estate market commentary: December 2016
The eurozone economy is steadily returning to normal. Total GDP is now 3% above its previous peak in 2008, net bank lending has turned positive, unemployment fell below 10% in September and core inflation, excluding energy, has settled at 1%.
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White papersEuropean real estate offers value despite political risk
Continental European real estate offers more value than other regions, but moderate returns are expected over the next five years, says Monika Sujkowska.
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White papersThe international route to a truly diversified property portfolio
Real estate is often seen as a diversifier for a traditional equity and bond portfolio. Yet, while most investors are aware of the importance of portfolio diversification, many with property investments still exhibit varying degrees of “home bias”, a tendency to favour domestic markets over those in other countries.
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White papersUK real estate outlook: economic uncertainty weighs on property market
UK property will deliver a total return of five per cent per annum between 2017 and 2021, but investors will need to be more discerning on asset selection, says Chris Urwin.
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White papersInside Real Estate: Annual strategy outlook for 2017
A new president in the white house – After a bitterly fought election, Donald Trump surged on a wave of populism to be elected the 45th President of the United States.
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White papersEconomic and Property Market Overview: Q3 2016
Four months have passed since the referendum result, during which time we have seen a number of new developments, including a change in government, a succession of upbeat data on the domestic economy and quick monetary stimulus action by policymakers (an extension of its asset purchasing programme and a 25bps cut in the base rate) which has softened the adverse post-Brexit effects that were assumed by many economists.
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White papers
UK real estate market commentary: September 2016
While third quarter data for GDP has not yet been published, retail sales and other indicators suggest that the economy has continued to grow since the EU referendum.
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White papers
Continental European real estate market commentary: September 2016
The eurozone economy has grown steadily by 1.5% p.a. since mid-2013 and we expect it to maintain that progress through 2017-2018. We do not think that Brexit will de-rail the recovery. While the boost from falling oil prices will fade, most countries look set to benefit from a virtuous circle of rising employment and higher consumer spending.
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White papersCan institutional scale rental accommodation help solve the housing crisis?
Behind the political headlines dominated by Brexit developments, there has been a key shift with another highly contentious topic – housing.
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White papersStill lucky?
Macro and sectoral rebalancing taking place supporting real estate fundamentals in Australia
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White papersClimate change and real estate investment 2016
Against the backdrop of the recent historic Paris climate deal, this paper revisits the topic of climate change and real estate.
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White papersThe Case for UK Property: September 2016
The UK commercial property market has had to withstand a considerable rise in both financial and economic market volatility since the start of 2016. First, there was the turbulence in global equity markets at the beginning of 2016, after which came the result of the UK Referendum in June 2016, with the UK public opting to leave the European Union.
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White papersEuropean real estate looks attractive after Brexit but political risks remain
We forecast total returns on continental European real estate of 4.6 per cent per annum over the next five years amid weak supply and strong demand from yield-hungry investors, combined with recovering rents.
