Latest Analysis – Page 21
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Opinion Pieces
Guest Viewpoint: Melanie Leech, British Property Federation
The UK property industry will travel to Cannes, as it does every year. But with Brexit imminent, says Melanie Leech, MIPIM in 2017 will be more important than ever
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Magazine
Politics woven into the fabric
Political risk is commonly associated with less developed economies, but in 2017 investors began to realise that it was residing, latent, in Western democracies.
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AnalysisAnalysis: Will GLP end up in Chinese hands?
Industry insiders still back winning bid to come from CIC consortium
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AnalysisWill ICPF join the acquisition race for Australia's Investa Office Fund?
Real estate industry begins to talk of unexpected bid for AUD3.6bn fund
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Analysis
Are we back to 2006?
Real estate is booming. Investors are raising allocations and the investment management industry is growing and consolidating
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AnalysisAnalysis: Could the Trump effect boost US property?
Mexican-border property could be the first big test
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Analysis
A sudden divide
When IPE Real Estate held its annual conference in Amsterdam in May, there were a number of discussions about the disruptive forces at play in the real estate sector. The possibility of a UK departure from the European Union was one of them, but there was an air of assumption that a vote to remain would prevail.
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Magazine
AIFMD: The passport queue lengthens
Regulators are getting closer to extending passporting rights to non-EU countries. But a number of issues could slow the process, writes Glynn Barwick
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Analysis
Brexit: Back to the drawing board
Investors had to tear up their forecasts following the UK referendum. Richard Lowe explores the attempts to reach a post-Brexit consensus
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AnalysisBrexit analysis: Private debt to be standout winner
Private debt is set to benefit the most from structural changes accentuated by Brexit
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AnalysisAnalysis: Investors cool their interest in hot tech sector
Green Street Advisors sounds warning on Bay Area as venture capital slows
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AnalysisAnalysis: Opportunistic investors monitor UK market upheaval
Brexit fallout and property fund suspensions stir opportunity funds
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AnalysisAnalysis: What the property fund freezes mean for institutional investors
Pension funds seek reassurance after three UK property funds suspend trading
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Magazine
An unwieldy asset class
Infrastructure represents one of the biggest conundrums for institutional investors today. The asset class is at the centre of a well-documented rush to real assets by the world’s biggest funds.
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MagazineThe toll-road backlash
US toll roads are vulnerable to political interference. Other infrastructure projects could be affected, too. Christopher O’Dea reports
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Magazine
Top 100 global infrastructure investors
The top 100 global investors are ranked by size of infrastructure assets under management. Figures are calculated by S&P Global’s MMD
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AnalysisAnalysis: The risk of 'contagion' for Eurosceptic markets
EU is more likely to suffer investor vengeance after UK’s vote to leave
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AnalysisUncertainty peaks as real estate sector awaits Brexit vote outcome
UK voters head to polls for referendum on European Union membership
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AnalysisAnalysis: Vote to cancel US toll-road highlights infrastructure risk
Cintra’s project to develop toll-lanes in North Carolina under threat after
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AnalysisKarsten Kallevig: Norges Bank committed to real estate despite pricing
Real estate chief at Norwegian SWF explains lack of property transactions in Q1



