All United Kingdom articles – Page 25
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White papers
The implications of Brexit for European Real Estate
The narrow victory for the ‘Leave’ campaign creates uncertainty, which is likely to dampen economic growth and create volatility in markets in the short term.
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House View: Q3 2016
The Aviva Investors House View document is a comprehensive compilation of views and analysis from the major investment teams.
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Perspectives: Brexit and its implications for UK real estate
An analysis of which segments of the UK real estate market may face the greatest short-term challenges, and of the long-term investment opportunities which may arise from any volatility.
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Asset Manager News
UBS Triton completes acquisition of South-East industrial estate for GBP 30 million
UBS Asset Management’s Global Real Estate business announces that the UBS Triton Property Fund has completed the acquisition of the Interchange industrial estate in Swanley, Kent for approximately GBP 30 million, representing a yield of 5.51%.
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Asset Manager News
UBS ICUK property fund agrees GBP 77 million portfolio refinancing
UBS Asset Management’s Global Real Estate – UK business announces that the UBS Investment Circle UK Fund has agreed a GBP 77 million medium-term facility with an international real estate lender.
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European Real Estate Quarterly: Q1 2016
Towards the end of 2015 and into Q1 2016 there have been an increasing number of commentators speculating that the world economy is on the cusp of a new recession, triggered by slowing emerging market economies.
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White papers
UK real estate market commentary - June 2016
We expect the political uncertainty in the UK post-EU referendum to ease further to the appointment of Theresa May as Prime Minister on July 13.
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Brexit: impact on European real estate
European real estate prospects remain encouraging, despite heightened political risk and more uncertainty, says Monika Sujkowska.
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Taking Stock After Brexit
While global equity markets have rebounded after the Brexit vote, the medium- to long-term political and economic trajectory is uncertain, with many potential twists and turns.
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EU Referendum: impact on UK real estate
The hit to UK real estate sentiment sparked by the UK’s vote to leave the EU may be limited by easier monetary policy, says Chris Urwin.
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Asset Manager News
KGAL remains committed to London despite BREXIT
CEO Gert Waltenbauer confirms that despite his company’s international focus, the referendum decision by the British people to leave the European Union will not affect the future development of the asset management firm based in Grünwald.
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Presentation on the impact of Brexit
Senior Investment Analyst, Jelena Kucenko, discusses the impact of Brexit on the UK Economy.
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Asset Manager News
Macquarie enters the Central and Eastern Europe real estate market with €79m portfolio acquisition
An investment vehicle advised by Macquarie Infrastructure and Real Assets (MIRA) has completed a 100% acquisition of a €79m portfolio of logistics and light industrial assets in the Czech Republic and Slovakia.
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Catering for changes in the Restaurant Sector
Casual dining remains a favoured pursuit for consumers, who despite keeping a check on outgoings, spent a greater proportion of their incomes on dining out.
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No upsides in a vote to leave EU
When first thinking about this article, my overriding concern was about being too confrontational and keeping a measured tone.
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Asset Manager News
PATRIZIA acquires 198-unit BTR development in East London
PATRIZIA UK announces that it has completed the acquisition of Trocoll House, Barking from Coplan Estates. The site has been acquired for the development of a 28-storey tower with detailed planning consent in place for 198 Build to Rent units.
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Global cities: Superior returns in top cities
The world is moving away from sovereign borders and is becoming defined by economically powerful global cities.
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Magnify: Is there Life Beyond London?
Investors and occupiers are increasingly looking beyond London for, respectively, higher returns and lower rents.
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UK real estate momentum slows
UK commercial real estate returns are easing and likely to slow further this year, says Richard Levis.