Showing 121–130 out of 1841 results
The race for space: analyzing the red-hot housing market
With home price growth at its highest level since 2004, we break down key supply and demand drivers and look ahead to what’s next.
The opportunity in commercial real estate debt
CRE debt may be particularly attractive for investors looking to potentially manage interest rate risk and hedge against inflation risks of tomorrow’s markets.
The next downturn is here. How will CRE debt hold up?
Here we analyze the potential impact of COVID-19 on the CRE debt market by examining the market’s performance during the 2008 GFC and comparing the state of the pre-GFC and pre-COVID markets.
The more things change, the more they remain the same during bear markets
New strategy note from Chief Market Strategist Troy Gayeski
The missing piece: SOFR’s place in the post-LIBOR puzzle
Read about key differences between SOFR and LIBOR, and upcoming milestones for SOFR's incorporation into markets.
The middle ground: Balancing fear, greed and returns with middle market private equity
Why the U.S. middle market continues to offer private equity investors a more attractive opportunity set versus the large and mega cap market
Showing 121–130 out of 1841 results