We believe that quality and sustainability are long-term drivers of outperformance
Our investment philosophy is built around an assumption that quality is a long-term driver of outperformance. We believe that by focusing on investing in businesses with better-than-average quality characteristics, we increase our chances of outperforming over the market cycle. We integrate local experience onto a global scale in-order to gain deep insights into changing market conditions and focus on a holistic view of sustainability, including ESG.
- $4.5 Billion* Listed Real Estate assets under management (USD)
- 4 Continents Experience around the globe
- 13 Strategies Within listed real estate
Why global listed real estate?
Listed real estate provides most of the benefits of direct real estate investment, with the added benefit of liquidity. Listed real estate can be traded on a stock exchange, and can provide investors with exposure to commercial, retail or industrial property assets.
Being a defensive asset class with yield, backed by visible, contractual and sustainable earnings, global listed real estate is positioned well for uncertainty.
How ESG is considered within the Global Listed Real Estate Team
The Global Listed Real Estate team have award-winning capabilities that stem from local experience, global integration, and an institutional grade investment process. In line with the team’s investment philosophy, the investment process starts with the holistic assessment of quality, capturing material environmental, social and governance (ESG) issues.
Backed by visible, contractual and sustainable earnings to be well positioned for uncertain times.
With quality assets that we believe will outperform over the long-term, our investment process assesses and captures a holistic view of sustainability, including ESG.
Secondary coverage encouraging peer review, cross-pollination of ideas, and depth of insight.
Risks specific to real estate investments include the risks of investing in share markets, property and international markets. In addition, the risks associated with interest rates, gearing and the cost of debt, derivatives, investment management, co-ownership of assets, fluctuations in rental income, rental demand and fund termination risks.
meet the listed Real estate team
add James Maydew BSc (Hons), MRICS Head of Global Listed Real Estate Sydney, Australia
add Mark Ferguson BEc, MBus (Banking & Finance), GradDipFP, FINSIA Head of Australian Listed Real Estate Sydney, Australia
add Matthew Hodgkins Head of Americas Listed Real Estate Chicago, United States
add Ryan Watson BAppFIn Head of European Listed Real Estate London, United Kingdom
add Joseph Pavnica Portfolio Manager / Analyst Chicago, United States
add Dominic Cappellania Portfolio Manager / Analyst Chicago, United States
add James Holiday-Smith Portfolio Manager / Analyst Chicago, United States
add Alex Kubicek CFA Portfolio Manager/Analyst Chicago, United States
add Hideharu Ichii Portfolio Manager / Analyst - Global Listed Real Estate Hong Kong
add Jacob Cheng Portfolio Manager / Analyst Hong Kong, China
add Anthony Sambuco BAppFin & Bec Analyst Sydney, Australia
add John Lewis BComm Portfolio Analyst Sydney, Australia
add Jessica Koh BPropEc (Hons) Head of Asian Listed Real Estate Hong Kong
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