The industry's own research.
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Capital Economics reports on revised PREA consensus total return forecasts for US commercial real estate in 2026–2027, with notable downward adjustments particularly affecting the residential sector.

Capital Economics analysis of US commercial property capital values and market dynamics in Q1 2026, examining geopolitical risks and their potential impact on the sector.

Analysis of commercial property valuation trends showing deterioration in Q1 2026 driven by elevated alternative asset yields amid geopolitical tensions, with further weakness expected in Q2.

Capital Economics analysis of Q1 RICS survey data showing how geopolitical tension affects occupier and investor sentiment in US commercial real estate markets and capitalization rate expectations.

Capital Economics analysis examines how potential energy cost increases from Iran conflict may affect US commercial real estate returns through occupier margin pressure and rental demand impacts.

Capital Economics chart pack tracking US commercial property capital values, market stabilization trends, and forward indicators for commercial real estate sentiment.

Capital Economics analyzes the ongoing effects of the pandemic on global commercial real estate performance and market differentiation through 2030.

Capital Economics analysis forecasts a prolonged UK commercial real estate recovery constrained by elevated interest rates and structural office sector challenges over the next three years.

Analysis comparing current commercial real estate market conditions and dynamics to the early 1990s era.

Capital Economics analyzes European commercial property valuations and yield trends in response to geopolitical and alternative asset market dynamics.

Capital Economics analysis of Q1 RICS survey sentiment across European commercial property markets, highlighting weakness in France and Germany alongside regional performance in Spain, Portugal, and Poland.

Capital Economics examines recovery trends in student accommodation investment and the diversification of funding sources expected over the coming decade.

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

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

Research perspective examining how back-leverage strategies are being utilized to address debt funding constraints in European real estate markets.

AEW research whitepaper examining investment opportunities and market dynamics across Asia Pacific real estate markets.

AEW research examines the relationship between prime market performance and fund-level returns across European real estate investments.

AEW research examines elevated transition risk premiums in European real estate driven by higher costs and improved data availability.

AEW's research-based perspective on U.S. real estate markets and investment opportunities, informed by integrated economist teams across North America, Europe, and Asia.

AEW research webinar examining sources of investment returns across North American real estate markets through an integrated economist-led analysis.

AEW's research-based perspective on Asia Pacific real estate market dynamics and investment opportunities across the region.

AEW research perspective examining the refinancing environment in European real estate markets and whether the acute phase of the refinancing challenge has passed.

Research perspective on European private infrastructure lending strategies and risk-return positioning for institutional investors.

Research perspective examining the Bank of Japan's policy impact on Japanese real estate markets and investment opportunities.

AEW research examines European borrowing cost trends and persistent refinancing obstacles in real estate capital markets.

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

AEW research whitepaper examining capital preservation strategies within the evolving private credit landscape for real estate investors across North America.

Montagu Evans has advised the Ministry of Defence (MoD), via... Read more The post Montagu Evans advises Ministry of Defence (MoD) on acquisition of Europe’s largest indoor drone testing facility appeared first on Montagu Evans .

Montagu Evans has appointed experienced development and living sector valuation... Read more The post Montagu Evans Appoints George Tsielepis as Partner in its Residential Valuation Team appeared first on Montagu Evans .

Barings executives discuss portfolio finance strategies for institutional investors seeking risk-adjusted returns and capital flexibility in private debt markets.

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

A Barings viewpoint examining traditional middle market direct lending fundamentals and how private credit strategies differ in their portfolio roles.

Q&A exploring how infrastructure debt enhances insurer portfolios through risk-return attributes, diversification, and long-duration cash flows.

Barings executives discuss mid-market direct lending trends, investor demand, and risk mitigation strategies in private credit markets.

Analysis of Greater Toronto Area land transaction activity showing a 20% decline in 2025 compared to prior year.

May’s sales data pointed to a market that looked stronger in aggregate than in the underlying details. Portfolio and entity-level transactions lifted total volume, while single-asset sales softened across several major property types. Office Office remained the clear underperformer. Sales totaled $4.1 billion, down…

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.
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The Trepp commercial mortgage-backed securities delinquency rate decreased 20 basis points to 7.35% in June 2026, driven primarily by a large lodging cure. Among property types, lodging posted the largest decrease of 79 basis points to 5.22%, while retail increased 30 basis points to 6.91% and multifamily rose 28 basis points to 7.23%, with the five largest newly delinquent loans totaling $998.9 million of $2.64 billion in total newly delinquent loans.

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.

Analysis of how alternative real estate sectors have evolved from specialized niches to become mainstream institutional investment categories since 2005.

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.

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.