Longer-form thinking on where the market goes.
193 white papers
showing 61–120 of 193

Analysis of how revised SFDR (Sustainable Finance Disclosure Regulation) frameworks may reduce compliance burden on real estate managers and unlock capital deployment in sustainable properties.

Analysis of how rising European defence budgets are reshaping commercial real estate demand, supply chains, and regional investment patterns across the continent.

An exploration of retrofit strategies as a potential approach to address supply constraints and meet occupier demand in the London real estate market.

Examines the paradox of artificial intelligence improving building energy efficiency while simultaneously increasing overall power consumption demands across real estate.
Analysis of investor interest in land with existing power infrastructure and utility connectivity as an emerging real estate opportunity.

An analysis of how institutional real estate investors are leveraging data and artificial intelligence to manage portfolio growth while mitigating investment risk.

Expert panel discussion on policy mechanisms expected to drive growth in Vietnam's tourism real estate sector.
AEW's research-based approach to investment decisions positions its economists to uncover and anticipate new opportunities for investors in dynamic real estate markets across the world. AEW's integrated research teams are on the ground in North America, Europe and Asia to…

Barings analyzes a multi-asset strategy of substituting portions of broad equity exposure with high-carry credit instruments given current market valuations and fixed income yield environments.

RCLCO Fund Advisors (RFA) and Soling Partners, a Dubai-based advisory firm that helps international asset managers and corporates engage with Gulf capital, wrote a joint research paper examining why GCC…

This is a viewpoint-commentary piece published by Institutional Real Estate, Inc. in June 2026 examining Asia Pacific real estate in the context of trade tensions and war. The item addresses capital markets and economic considerations affecting the region's real estate sector.

This is a viewpoint-commentary published by Institutional Real Estate, Inc. in June 2026 that compares real estate and infrastructure as two distinct asset classes, examining their duration characteristics and associated risk profiles. The piece addresses capital markets and economic considerations related to these investment categories.

This is a viewpoint-commentary published by Institutional Real Estate, Inc. in April 2026 addressing how demand in Asia Pacific life sciences and research and development real estate can be converted into investment opportunities. The piece covers topics related to capital markets and economic considerations in this property sector.

This is a viewpoint-commentary published by Institutional Real Estate, Inc. in March 2026 addressing investor interest in renovating and repurposing existing real estate assets in response to elevated new construction costs. The piece discusses capital markets and economic factors influencing decisions between new development and existing stock renovation.
The real advantage series 4 min. read ~ 8 minutes long 09 Jun 2026
Deloitte analysis explores how emerging leaders are shaping investment patterns toward alternative real estate asset classes.
Commercial real estate firms are using climate risk data to guide acquisitions, capital planning, insurance, and resilience investments, experts said at ULI's 2026 Resilience Summit.
How cities are redesigning offices, housing, and public spaces after the pandemic, with insights from ULI's 2026 Resilience Summit in Nashville.
Learn how cities and real estate owners are measuring, managing, and mitigating extreme heat risk through planning, data, and climate resilience strategies.
CREDA Research Foundation examines how the commercial real estate industry assesses, manages and mitigates physical climate risk.

Analysis of climate resilience strategies for real estate using engineering, nature-based solutions, and AI-powered approaches.
Article explores biodiversity as an emerging structural risk factor affecting real estate valuations, moving beyond landscape beautification to address deeper asset implications.

Nicola Wealth signals long-term investment strategy and growth plans in Victoria's residential apartment market.

In the age of AI, land with access to power, water, and infrastructure is highly sought after. The post The Helios Story: From Bitcoin Mine to Data Center appeared first on Texas Real Estate Research Center .

Interview with Impar Capital executive discussing a residential development project in Madrid's Sagasta location.
The Tax Cuts and Jobs Act of 2017 was signed into law December of that year, creating a new benefit for investors. Called Opportunity Zones, the initiative’s purpose is to steer investment into areas that struggle with attracting development by allowing capital gains to be redirected into qualified projects,…
A new ULI report identifies five characteristics shared by successful mixed-use redevelopments of former factories, breweries, shipyards, and other industrial sites.
This is a 2024 responsible investing report published by Kayne Anderson Capital Advisors covering real estate with a focus on sustainability practices. The report addresses environmental, social, and governance considerations relevant to real estate investment on a global basis.
This is an annual environmental, social, and governance (ESG) report published by Clarion Partners covering the 2024-2025 period, with a focus on sustainability practices across global operations.

Knight Frank Malaysia and Singapore examine real estate opportunities across the Johor-Singapore Special Economic Zone, analyzing cross-border investment potential.
Green Street announces expansion of its infrastructure research coverage to include infrastructure debt, transport, and data center assets.

A decade after a favor for a friend in the crane business pulled Alterra Property Group into the fragmented world of truck yards and equipment lots, industrial outdoor storage has become one of commercial real estate’s most aggressively capitalized sectors — and the executives closest to it say the valuation gap…
Cleveland’s Midline project pioneers a new district-scale model to transform vacant industrial brownfields into hubs for advanced manufacturing and good jobs.

A first-of-its-kind partnership between NASCAR and the U.S. Navy offers a model for using operational public land for temporary events while preserving its primary…

By Michael Strong, Vice President-Project Executive, Skanska USA Across the San Francisco Bay Area, adaptive reuse has shifted from a niche idea to a practical construction solution. With high office vacancies, evolving community needs, and increasing pressure to deliver projects faster and more responsibly,…

The post 2026 Mid-Year Investment Perspectives appeared first on Blackstone .

Preserve’ developed by industry to support investment teams in consistently assessing how the transition to a low-carbon economy could affect real estate asset performance and value.

Hurricane season officially began on June 1, and for property owners and managers across the Gulf Coast and Southeast, preparation should already be underway. While NOAA predicts less hurricane activity… The post Preparing for Hurricane Season: A Guide for Owners and Operators appeared first on Multifamily &…
BNP Paribas Real Estate examines emerging sustainability frameworks and their impact on commercial real estate beyond the Carbon Risk Real Estate Monitor standard.

Analysis of investment opportunities emerging from municipal climate and sustainability projects in commercial real estate markets.

Analysis of how wildfire-resilient building design and practices can mitigate credit risk and default potential in commercial real estate portfolios.

Analysis of how Middle East geopolitical tensions are affecting economic conditions and commercial real estate markets across the Asia-Pacific region.

Cushman & Wakefield research examining the economic and commercial real estate impacts of Middle East geopolitical tensions on European markets.

Cushman & Wakefield examines the V4 version of the HQE-BD (Haute Qualité Environnementale - Bâtiment Durable) certification standard and its key evolutions for operational buildings.

Analysis of how artificial intelligence will influence commercial real estate demand and returns across sectors, with particular attention to both beneficiaries and challenged property types.

Capital Economics shares insights and outlook perspectives on alternative real estate assets drawn from client roundtable discussions.

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

AEW research-based analysis of investment opportunities and market dynamics across Asia Pacific real estate markets.

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

A three-part research series examining investment opportunities and market dynamics across Asia Pacific real estate markets through AEW's integrated economist and research teams.

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 perspective on European residential investment dynamics emphasizing current income and rental growth opportunities across the continent.

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

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

A discussion of how infrastructure debt is entering a new growth phase driven by structural mega-trends and evolving energy needs.

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

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.