The asset management arm of the Canadian Bank has launched its first product in the sector in partnership with BCI and its subsidiary QuadReal.
3 min read · 27 March 2019
Declining investing volumes in Japan demonstrate a further challenge for those with aspirations to build a lower risk and return portfolio in Asia.
3 min read · 28 February 2019
The global real estate firm’s first core multifamily fund builds on an existing collection of open-ended funds focused on a single property type such as logistics or retail.
3 min read · 20 February 2019
Limited demand from international investors for core assets in the country is partly down to the difficulty in expatriating exit proceeds, writes Stuart Jackson, chief executive of China-focused real estate investment manager InfraRed NF
3 min read · 24 September 2018
On Tuesday, the $24bn sovereign wealth fund will vote on a subscription to a portfolio management service to aid due diligence and portfolio monitoring across real estate, private equity and real return.
1 min read · 28 August 2018
Through a new $2bn JV with Lendlease, the fund hopes to learn lessons about development in gateway cities applicable to other markets, its head of real assets told PERE.
2 min read · 23 August 2018
M&G has taken on a major leasing risk with its acquisition of twin office towers in Seoul, raising questions about what is interpreted as a core strategy in the industry.
3 min read · 03 August 2018
Rolling assets from higher to lower risk and return vehicles in the name of retention makes sense to some managers, while others see conflict of interest.
6 min read · 27 June 2018
As its CRE Senior 10 fund nears being fully invested, AXA is considering options for its successor vehicle, according to its head of funds group.
2 min read · 05 June 2018