The industry's own research.
21 items

Institutional investor insights covering manager performance, risk appetite, and market developments across asset classes.

bfinance's quarterly analysis of institutional investor activity, risk appetite, market developments, and asset manager performance across real estate.

A survey of 418 institutional investors across 39 countries assessing their responses to current geopolitical and macroeconomic developments.

A bfinance poll examines how disappointing distributions, weak returns, and softer fundraising conditions are shifting fee negotiation power toward investors in private real estate markets.

Analysis of whether private market secondaries are creating efficient liquidity solutions or delaying actual exits for investors.

Overview of growth in Shariah-compliant private market investment solutions for diversification and regional risk reduction.

A guide exploring how UK local government pension scheme funds approach manager selection and implementation strategy in impact-focused real estate investing.

Analysis of how investors can identify and mitigate underperformance risks stemming from liquidity constraints and drag in semi-liquid private market funds.

Analysis examining the characteristics and strategies that differentiate high-performing real estate fund managers from underperforming peers during recent portfolio challenges.

Analysis of positive one-year returns in Core and Core-plus real estate funds and implications for strategy selection amid broader asset class recovery narrative.

Analysis of listed real assets' historical risk-adjusted returns and current market positioning relative to other asset classes.

Analysis examining how infrastructure investment strategies perform under inflationary conditions and the variation in inflation-linkage effectiveness across different asset types.

Institutional investors are increasingly allocating to alternative real estate sectors including data centres, life sciences, cold storage and manufactured housing for portfolio differentiation.

Quarterly institutional investor and asset manager insights covering market developments, risk appetite, and performance trends across multiple real estate sectors.

bfinance's quarterly institutional investor and asset manager intelligence covering activity trends, risk appetite, market developments, and performance across asset classes.

A quarterly institutional investor and asset manager analysis covering market developments, risk appetite, and performance trends across real estate and capital markets.

bfinance's quarterly insights on institutional investor activity, risk appetite, market developments, and asset manager performance across real estate.

Bfinance's quarterly analysis of institutional investor activity, risk appetite, market developments, and asset manager performance across commercial real estate and investment sectors.

Institutional investor activity, risk appetite, market developments and asset manager performance across real estate and alternative assets.

bfinance's quarterly analysis of institutional investor activity, risk appetite, market developments, and asset manager performance across real estate and related sectors.

Quarterly report examining institutional investor activity, risk appetite, market developments, and asset manager performance across real estate sectors.