Showing 411–420 out of 1074 results
Implications of a transformed CRE lending market
A new report from Chief Market Strategist Troy Gayeski.
Impact of oil market dynamics
Crude prices tumbled as a supply shock hit an oil market already pressured by COVID-19.
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.
Iceberg, right ahead!
There’s a glacier out there. It isn’t going to sink your boat, but it is sitting in the middle of the household balance sheet, freezing the income on savings.
How will the “return to normal” impact interest rates?
In this episode, Chief U.S. Economist Lara Rhame and Director, Investment Research Kara O’Halloran provide an overview on the volatility in treasuries and long-term interest rates.
How will higher interest rates impact CRE returns?
Investors are faced with a changing CRE landscape amid an aggressive rate hike cycle. We explore the implications of higher financing costs, and potential new strategies to capture value.
Showing 411–420 out of 1074 results