The industry's own research.
395 reports
showing 181–240 of 395

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.

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

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

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

INREV releases updated consensus indicator data reflecting current market sentiment and conditions across European real estate.

Analysis of Q4 2025 ODCE and NCREIF Property Index performance metrics across institutional real estate markets.

Quarterly performance data from ODCE and NCREIF Property Index tracking returns and trends across major real estate asset classes.

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 presents a chartbook compiling survey responses from European fund managers on market conditions, investment trends, and capital deployment across real estate sectors.

INREV's survey of European real estate fund managers covering sentiment, strategy, and market outlook across property sectors and geographies.
INREV explores investor sentiment and repositioning strategies in European real estate based on findings from their Investment Intentions Survey.

INREV survey capturing investment intentions and strategic priorities across the European real estate investor community for 2026.

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 survey capturing European investor sentiment and capital allocation plans across real estate sectors for 2024.

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

INREV's 2024 survey of investor intentions across European real estate markets, available as Excel supplement data and chartbook.

INREV chartbook presenting investor sentiment and capital allocation intentions across European real estate sectors and geographies.

INREV survey capturing European real estate investor intentions and capital allocation priorities for 2026.

INREV survey documenting investor sentiment and capital allocation intentions across European real estate markets.

INREV's annual survey chartbook capturing European real estate investor intentions and capital allocation strategies for 2025.

INREV's Investment Intentions Survey 2025 chartbook provides data on European real estate investor allocation intentions and sector preferences for the year ahead.

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

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

INREV's 2025 capital raising chartbook presents data and analysis on fundraising trends and capital deployment in European real estate.

INREV's 2024 capital raising survey provides data on fundraising trends and dynamics across European real estate investment vehicles and strategies.

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.

FTSE Nareit Equity Office Owners vs. All Other Office Owners — A CompStak Portfolio Scoring ComparisonAs the fourth part of […] The post Portfolio Series: FTSE Nareit Office Index Owners Vs. All Other Office Owners appeared first on CompStak .

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.

Analysis of COVID-19's differential impact across REIT sectors and the structural position of the REIT market entering the crisis.

Research examining how REITs invested in tech-related property sectors can reduce portfolio volatility and provide exposure to 21st century real estate.

Nareit analysis of REIT performance and commercial real estate market conditions heading into 2018, noting strong GDP growth, sustained demand across property types, and rising occupancy and rents.

Nareit economist analyzes economic growth trends in the first half of 2019 and their impact on commercial real estate markets and REIT performance.

Nareit research quantifies the growth in REIT ownership among American households and individuals from 2001 through 2019, documenting more than a doubling of shareholders over the period.

Nareit research examines how office REITs reallocated holdings toward secondary cities since 2012 to capitalize on population and employment growth dynamics.

Analysis of historical commercial real estate construction cycles and their effects on REIT performance through rents, vacancy rates, and valuations.

Nareit's research team analyzes 2021 REIT performance and provides perspectives on cyclical versus structural market changes expected over the next 12–18 months.

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.

Analysis of how COVID-19 pandemic structural changes may reshape commercial real estate usage and economic activity across property types.
Nareit's research team reviews macroeconomic conditions, REIT returns and operational performance at mid-year, including historical performance during high inflation and portfolio diversification analysis.

Nareit analysis comparing publicly traded equity REIT performance against private equity core, value-added, and opportunistic real estate funds across a full real estate cycle.

Nareit research estimates approximately 168 million Americans (roughly 50% of households) own REIT stocks directly or indirectly through mutual funds, ETFs, or target date funds.

Nareit analysis of rent collection trends across apartment, retail, and shopping center sectors during September 2020, noting stabilization in industrial, office, and healthcare properties.

Nareit economist examines whether the commercial real estate market that began in 2009 is nearing maturity, countering analyst views on price leveling and construction trends.

Nareit analysis of economic and real estate indicators projecting continued growth and improving REIT earnings across GDP, labor, housing, and commercial real estate sectors.

Nareit analysis examining REIT performance and positioning as the sector navigates post-pandemic economic conditions and market uncertainties in 2023.

Nareit mid-year analysis examining REIT performance and commercial real estate outlook amid persistent inflation and central bank policy impacts.

Nareit compiles annual sustainability and social responsibility metrics reported by the top 100 REITs by market capitalization, tracking emerging trends and new data points.

Nareit's annual survey compiling compensation data and metrics reported by top REITs by market capitalization, tracking industry trends and practices.

Nareit's annual compilation of sustainability and social responsibility metrics reported by the top 100 REITs by market capitalization, tracking evolving trends in environmental, social, and governance performance across the sector.
Nareit's annual report compiles sustainability and social responsibility metrics reported by the top 100 REITs by market capitalization, tracking evolving trends and performance indicators across the sector.

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

Oxford Economics examines commercial real estate growth drivers and market conditions expected to shape the sector in 2025.
A Real Estate Investment Trust (REIT) is a company that owns, operates, or finances income-producing real estate, created in 1960 to make real estate investment accessible to ordinary investors through diversified professionally managed property portfolios. REITs operate under structural rules requiring distribution of at least 90% of taxable income to shareholders, with assets and income primarily derived from real estate, and include equity REITs (owning properties), mortgage REITs (investing in real estate debt), and hybrid structures, with the U.S. REIT industry currently comprising 190 publicly traded REITs valued at $1.6 trillion in equity market value plus approximately $400 billion in non-traded REITs and an estimated $4.5 trillion in total real estate holdings across all REIT types.

Nareit's quarterly REIT industry performance data tracker covering financial metrics and sector composition.

Nareit's quarterly tracker of REIT performance, holdings, and capital market activity across the listed real estate investment trust sector.