All United States articles – Page 72
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White papersGlobal high yield multi-credit strategies: Finding sense in a nonsensical world
With 40% or more of the Eurozone sovereign debt market offering negative yields, a new investor to the global debt markets may well be thinking he has wandered into the Mad Hatter’s tea party.
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White papers
Real Estate Stocks: Not as vulnerable to rising rates as many believe
On December 16th the Federal Reserve (Fed) finally acted.
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White papers
Key risks for global real estate in 2016
Aided by extremely loose global monetary policy, capital values have experienced a strong recovery since the crisis. We believe this period of very strong capital growth has largely run its course and the window to capture significant yield compression is passing quickly, says Sandip Bhalsod.
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White papers
Global Core Pricing
Given varying dynamics in the three major regions regarding commercial real estate pricing, it is easier to speak at the individual region level.
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White papers
US Economic Outlook: Q3 2015
The US economy continued to lumber forward in Q3, as evidenced by the just-released GDP reading of 1.5% growth on an annualized basis.
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White papers
Pension Risk Transfer Gains Momentum in a Low Interest-Rate Environment
The pension risk transfer space continues to proliferate, with plan sponsors from an array of market sectors, firm sizes and geographical locations proactively transferring pension risk to insurance companies.
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White papers
US Economic Outlook: Q2 2015
July’s economic data for the US, to a large extent, represented more of the same with some mixed economic news.
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White papers
Insights: Quarterly market views from our fund managers - Q2 2015
The Asia Pacific real estate market is expanding rapidly – invested stock in the region rose by 10% in dollar terms over the past year to $5.1 trillion, moving further ahead of Europe and North America. This growth has helped to further broaden the pool of opportunities, with new markets meeting the transparency and maturity criteria for core investment.
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White papers
What QE in Europe Means for Real Estate Investors
Roughly three months after the Fed announced that its third and final quantitative easing (QE) program was complete, the European Central Bank (ECB) finally announced that it was starting its first QE program.
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White papers
Mezzanine Debt – Does it Make Sense Today?
Advancing into the seventh year of an extended and bumpy economic recovery, amidst global uncertainty on the direction and pace of growth, questions naturally arise about the relative attractiveness of alternative real estate investment strategies.
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White papers
Public real estate debt strategies: Commercial mortgage-backed securities
Commercial Mortgage-Backed Securities (“CMBS”) represents a prominent segment of the U.S. commercial real estate investment landscape, carrying an outstanding balance of over $564 billion. Principal Global Investors Real Estate believes current economic trends, U.S. commercial real estate fundamentals, and factors specific to the CMBS market are conducive to positive long-term CMBS performance.
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White papers
The IRS Has Spoken – Real Estate is Everything?
In 1964, Supreme Court Justice Potter Stewart famously avoided trying to define certain, ahem, inappropriate films by simply stating, “I know it when I see it.”
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Asset Manager News
UBS Real Estate GmbH verkauft für ihren Fonds UBS (D) 3 Sector Real Estate Europe eine Büroimmobilie in Chicago
Die UBS Real Estate GmbH mit Sitz in München hat für den in Auflösung befindlichen Publikumsfonds UBS (D) 3 Sector Real Estate Europe eine Büroimmobilie in Chicago verkauft.
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Asset Manager News
CBRE Global Investors advises an affiliate of WealthCap in acquisition of Silicon Valley office building as part of separate account mandate
An affiliate of WealthCap has acquired a fully leased 55,956 square foot Class A, single-tenant office building in Mountain View, California as part of a separate account mandate in which CBRE Global Investors, is advising on U.S. commercial real estate investments.
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White papers
U.S. REIT PREFERREDS – Equity-like Returns with Fixed Income-like Risk
In a world where yield is scarce, generating enough income to meet future liabilities is a challenging endeavor
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Asset Manager News
Asian insurance companies award $200 million mandate to CBRE Global Investors
A collection of large Asian insurance companies has awarded a $200 million discretionary global mandate to CBRE Global Investors’ Separate Accounts Group to build a core/core real estate portfolio in the United States and Europe.
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Asset Manager News
CBRE Facilitates $104.9 Million Sale of Met Center Following Successful Repositioning
Jeffrey Dunne, Kevin Welsh and Brian Schulz of CBRE’s New York Institutional Group collaborated with Don Sperling of CBRE’s Saddle Brook Office to represent CBRE Global Investors in the sale of Met Center for $104.9 million on behalf of its CBRE Strategic Partners US fund series.
