All Real Assets articles in May/June 2018 (Magazine) – Page 2
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Magazine
GRESB: The need for a resilience benchmark
A spate of natural disasters has highlighted the vulnerability of real assets. Chris Pyke and Heather Rosenberg explain how GRESB is responding
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Analysis
Real estate fundraising jolts back to life
After concerns that real estate capital-raising could be slowing, all evidence points to continued appetite among institutional investors
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Magazine
Real estate sustainability: UK approaches junction
Does Brexit represent a red light for the greening of the UK’s real estate market? Hopefully not, writes Franz Fuerst
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Magazine
Korean Investors: Alternative universe
South Korean investors are expanding their alternatives exposure, and overseas real estate debt is a key target. Florence Chong reports
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Magazine
Allocation Trends: What’s really in the tin
The rise of real asset portfolios requires an understanding of the underlying characteristics and risk factors, rather than the labels
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Magazine
Get ahead of the regulators
Ths best piece of advice for those averse to regulatory creep is to look to prevention rather than cure – in other words, avoid giving regulators a reason to get involved
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Magazine
Regulation: EU powers ahead with plans to remove cross-border investment barriers
Momentum for the Capital Markets Union has not diminished despite the UK’s planned departure from the EU, writes John Forbes
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Magazine
Value-add: Adding value in Asia
International investors are leaning towards value-add funds for Asia. But strategies and definitions can vary, writes Florence Chong
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Magazine
Value-add: Is it actually less risky than core?
Investors are moving up the risk curve to take on more value-added exposure. But some argue that this is mitigating risk instead. Maha Khan Phillips reports
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Special Reports
The Top 100 Real Estate Investors 2018
IPE Real Assets’ top 100 ranking of some of the world’s largest real estate investors has captured more than $1.23trn in real estate assets
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Magazine
Research: German property, 10 years on
A decade after the financial crisis, Nikodem Szumilo and Thomas Wiegelmann explore how German real estate has correlated with other asset classes
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