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Stuart Watson

In the late stages of a long economic cycle, investors are becoming increasingly appreciative of the sector's recession-resistant qualities.
UK market participants tell Stuart Watson which strategies generate value in a private real estate market buffeted by political turbulence
Tricon Capital’s Gary Berman explains why his firm is pursuing a two-pronged strategy in the rental housing sector.
Increasing volumes of international capital are seeking a warm welcome in the real estate markets of the chilly Nordics.
European real estate debt continues to present compelling opportunities for high risk-adjusted returns, argue Colony Capital’s Kevin Traenkle and Nadra Moussalem. Stuart Watson reports
Traditional lenders’ focus on financing core assets leaves room for alternative lenders to finance value-add properties says Venn Partners’ Paul House.
Swedish banks’ short-term focus has created an opportunity for alternative lenders backed by more patient capital, says Brunswick Real Estate CEO (debt) Pontus Sundin.
Real estate investors craving downside protection are increasingly favoring debt over equity investing, argues DRC Capital managing partner Dale Lattanzio.
At PERE’s European roundtable, a discussion of Europe held in the UK inevitably turns to debate over the UK in Europe. Brexit dominates political and economic discourse in Britain ahead of the putative March 29 deadline for the country to leave the EU. So when the five participants meet in London in February it is […]
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