The industry's own research.
1,758 items
showing 1,321–1,380 of 1,758

Capital Economics analyzes global hotel market dynamics, examining near-term demand pressures from consumer spending and geopolitical factors alongside longer-term performance trajectories by region.

Capital Economics analysis of global commercial property market dynamics, examining impacts of economic uncertainty and interest rate movements on property activity.

Capital Economics examines the potential impact of AI-driven job displacement on office real estate demand, analyzing exposure by sector and pre-leasing trends.

AEW research perspective on investment opportunities and market dynamics across European real estate markets.

AEW provides a mid-year economic and real estate outlook for Europe, assessing market trajectory amid tariff pressures and identifying investment opportunities across regional markets.

AEW research economists examine the global debt funding gap across dynamic real estate markets in North America, Europe, and Asia.

China remains a manufacturing leader, adapting its industrial strategy while other Asian nations find opportunities in complementary sectors. Discover more.

Barings' Head of Europe Direct Lending Portfolio Management discusses global private credit investment strategy, portfolio construction, and emerging opportunities.

NCREIF and CREFC aggregate performance and composition data for open-end commercial real estate debt funds as of the third quarter of 2025.

NCREIF publishes quarterly performance data and metrics for the Moderate Yield Debt Index tracking commercial real estate debt returns.

NCREIF publishes quarterly performance and composition data for open-end real estate debt funds aggregated across the CREFC peer group.

NCREIF and CREFC aggregate performance data for open-end real estate debt funds as of mid-2025.

NCREIF and CREFC aggregate snapshot data on open-end real estate debt fund performance and positioning for the third quarter.

NCREIF and CREFC publish aggregate performance and composition data for open-end real estate debt funds as of the fourth quarter of 2024.

NCREIF's preliminary snapshot of the Open-End Diversified Core Equity (NFI-ODCE) index for fourth quarter 2025, presenting performance data and metrics across institutional real estate portfolios.

NCREIF publishes preliminary performance data for the National Fund Index Open-End Diversified Core Equity portfolio tracking institutional real estate returns.
Starwood Property Trust announced a private offering of sustainability-linked bonds to support its real estate investment and financing activities.
Starwood Property Trust priced a private offering of sustainability bonds; consult the investor relations announcement for terms and use of proceeds.
Starwood Property Trust priced a private offering of sustainability-linked bonds; see source for transaction terms and use-of-proceeds details.
Starwood Property Trust announced a private offering of sustainability-focused bonds as part of its capital markets activity.
Starwood Property Trust announced authorization of a $400 million share repurchase program.

Invesco presents a three-question framework for real estate investors to distinguish material macroeconomic developments from transient market noise.

Invesco's Global Head of Commercial Real Estate Credit discusses diversification strategies, sector strength, and risk mitigation approaches in real estate credit markets.

Invesco examines shifts in commercial real estate performance amid global trade disruptions and economic headwinds, assessing sector positioning by income yield.

Invesco examines global commercial real estate performance amid shifting trade patterns, tariffs, and economic growth headwinds, with focus on income-yielding sectors.
Former CEO expanded ULI’s membership, research, and international reach while laying the foundation for many of the Institute’s enduring programs.
STYLELOFT to Expand Hotel Market Advisory Services Based on Global Insights
The yen has fallen to a four-decade low of ¥162.8 per US dollar, declining 37% since 2021 and 53% since 2012, while Japanese Government Bond yields have surged to three-decade highs, with the 30-year yield at approximately 3.96% and the 10-year yield at 2.70%. The Bank of Japan's decades-long ultra-loose monetary policy, combined with only modest recent rate increases to 1.0% and quantitative tightening that has reduced its balance sheet by 12.6%, are described as insufficient to stabilize the currency or address resulting import-driven inflation and rising government borrowing costs.

A prominent Vancouver office tower has achieved WELL Core Platinum certification, a prestigious health and wellness building standard.

BGO discloses embodied carbon metrics and sustainability risk policies aligned with SFDR Article 3 regulatory requirements.

Harrison Street Asset Management announced the launch of its active global listed infrastructure ETF (ticker: NFRX), expanding its alternative investment product offerings.

Research examining how limited partner expectations and policy drivers are influencing sustainable investing practices and performance in real estate.

BGO's chief economist examines the characteristics and formation of resilient commercial real estate investment vintages.

A media appearance discussing perspectives on artificial intelligence's impact on real estate, multifamily housing trends, and data center market dynamics.

Analysis of global real estate credit markets examining how to distinguish meaningful market signals from noise in capital deployment decisions.

Chief economist commentary on commercial real estate development activity and market constraints.

BGO's annual sustainable investing report examines trends, strategies, and performance across real estate markets with emphasis on environmental, social, and governance considerations.

Brookfield leaders discuss the strategic sales of Livensa and Aveo properties, examining value creation across student housing and senior living segments.

Quarterly chartbook presenting real estate market data and analysis across multiple sectors and geographies.
INREV reports a 5.7% increase in real estate assets under management globally, reflecting broader trends in professional real estate investment and fund management.

Analysis of global real estate fund market conditions and recovery outlook from INREV.

INREV publishes 2025 Fund Manager Survey results showing continued decline in global real estate assets under management.

INREV's 2024 Fund Manager Survey presents key findings on the decline in global real estate assets under management.

INREV survey findings on institutional investor real estate allocation trends relative to global benchmarks.

Analysis of Spain's growing appeal as a real estate investment destination among European markets.

INREV's survey of investor intentions and capital allocation plans across real estate sectors and markets for 2026.

INREV's 2024 investor survey snapshot captures real estate investment intentions and capital deployment trends across European institutional investors.

ANREV/INREV/NCREIF Capital Raising Survey reports on global capital deployment into non-listed real estate vehicles during 2025.

Analysis of pension fund capital deployment in private real estate markets, showing their return as dominant institutional investors.

Report examining the rise of Asia-Pacific investor activity in real estate capital markets during a period of stagnant fundraising globally.

INREV's Capital Raising Survey reports key findings on global capital deployment into non-listed real estate funds and vehicles during 2024.

INREV's Capital Raising Survey reports capital mobilization figures and trends across non-listed real estate funds and vehicles globally during 2023.

EPRA survey capturing equity fund manager perspectives on real estate investment sentiment and market conditions.

EPRA survey capturing sentiment and perspectives from equity fund managers operating in the real estate sector.

The National Multifamily Housing Council examines international rental housing market practices and mechanisms that may inform US policy and development approaches.

Hospitality News for the Asia Pacific Region

Study examining the growth of REITs globally over six decades and the benefits of the REIT model for communities, economies, and investors across 40 countries and regions.

Overview of REIT growth across 42 countries and regions representing 85% of global GDP, examining the REIT model's benefits for communities, economies, and investors.

Lambert Smith Hampton publishes a capital markets update on industrial and logistics property investment activity and trends for Q4 2025.

Morningstar DBRS outlines its methodology for integrating ESG considerations into credit rating assessments across sectors and asset classes.