Insights
Eastern European Equities: Close to a Re-Risking Catalyst
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Webinar: Trade, Tariffs & Trump 2.0: Implications for Emerging Markets
Our award-winning emerging markets team analyse the latest developments shaping global trade and their impact on emerging economies.
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Seizing 2025: LGPS Opportunities in European Real Estate Debt
This article discusses the outlook for the European real estate debt market for 2025 and the consequent opportunities for institutional investors.
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Eastern European Equities: Close to a Re-Risking Catalyst
The onset of the conflict in Ukraine in March 2022 heightened uncertainties about the economic and financial prospects of Eastern Europe.
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Natural Capital: Agriculture and Timberland Asset Class Spotlight
With more than half of the world’s gross domestic product moderately or highly dependent on nature, recognising the value of natural capital and prioritising its sustainable management is essential for achieving long-term environmental, social and economic prosperity.
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Real Estate Debt Roundtable with CAMRADATA
David Renshaw, Managing Director and Co-Head of European Debt Strategies recently took part in CAMRADATA’s Real Estate Debt Roundtable. David discussed the longstanding dilemma of where real estate debt sits within asset owners’ strategic asset allocation. He also highlighted how falling values and rising base rates in 2023 are prompting investors to turn their attention to real estate debt.