Trimont’s Michael Delaney says lenders should focus on loan events, cashflow and covenants to mitigate current risks.
4 min read · 27 January 2023
To fight ‘active inertia,’ managers will need to adapt to changing client requirements,’ writes Chris Urwin, founder at advisory firm Real Global Advantage.
3 min read · 05 January 2023
As managers shift to focus on near-term challenges, sustainability and social impact goals are at risk of being deprioritised.
3 min read · 03 October 2022
A report published this week by LaSalle Investment Management and the Urban Land Institute drives home that non-uniform measuring of risks is keeping institutional real estate markets ambivalent.
3 min read · 16 September 2022
Christian Liedtke, chief executive of German asset manager Beach River Capital, argues European real estate is on a firmer financial footing than the central bank’s latest report suggests.
3 min read · 16 September 2022
Randeesh Sandhu, co-founder of alternative lender Précis Capital Partners, says financiers can take steps to mitigate the effect of rising rates and inflation on residential construction markets.
3 min read · 09 September 2022
While e-commerce continues to drive demand for industrial and logistics property, the future of the sector is by no means certain.
3 min read · 06 September 2022
The US office glut was years in the making. Some of today’s most-favoured property types are also at risk of suffering a similar fate.
3 min read · 26 August 2022
The imminent tide of refurbishments to meet environmental standards will provide opportunities for lenders.
3 min read · 02 June 2022
Credit’s first triumph over opportunistic in PERE’s Q1 2022 fundraising data points to enduring changes in the market’s perception of the strategy.
3 min read · 09 May 2022