Three major institutional investors in real assets join CBRE Investment Management CEO Chuck Leitner to debate the opportunity set of today.
10 min read · 01 April 2022
Despite myriad economic shocks over the past decade, GPs have continued closing ever-larger funds as more LPs carve out space for resilient real assets.
1 min read · 01 April 2022
The novelty of rising interest rates, the prospect of proliferating macro shocks and a profound demographic shift all have serious consequences for real assets, says CBRE IM’s chief economist and head of insights & intelligence Sabina Reeves.
7 min read · 01 April 2022
Low supply, high demand forces new risk profiles and equity staging.
3 min read · 29 March 2022
The impact from the war in Ukraine could still disrupt the commercial real estate debt in several ways.
2 min read · 23 March 2022
ArrowMark sees room for growth originating medium-sized loans across markets and asset classes nationally.
2 min read · 23 March 2022
Inflation hedging depends on the ability to grow rents and, in turn income, says Brad Gries, co-head and co-CIO, Americas at LaSalle Investment Management.
3 min read · 22 March 2022
The new provision should keep LIBOR’s staggered sunset going smoothly.
2 min read · 21 March 2022
The specter of rising inflation and higher interest rates, the knock-on effect on transaction volume and the impact on rising material costs were major topics of concern.
3 min read · 21 March 2022