This section contains the latest research reports and published research articles. Research is written on an ad hoc basis on popular topics. Topics may include real estate credit and risk analysis, real estate investment performance, debt and market liquidity impacts, portfolio attribution and correlations modelling.
I am a real estate professional in London and Frankfurt with more than 15 years experience in real estate equity investing and debt analysis. Throughout my career I have worked at tier 1 investment banks in CMBS loan origination and distressed asset workout. With a strong interest in research and teaching I am also a visiting lecturer at Cass Business School.
All material published on this blog is published for information purposes only and should not be regarded as providing any specific advice. Recipients should make their own independent evaluation of this information and no action should be taken, solely relying on it. This material should not be reproduced or disclosed without consent of the author. It is not intended for distribution in any jurisdiction in which this would be prohibited. The author makes no representation or warranty (expressed or implied) of any kind, as regards the accuracy or completeness of this information, nor does the author accept any responsibility or liability for any loss or damage arising in any way from any use made of or reliance placed on, this information. Unless otherwise stated, any views, forecasts, or estimates are solely those of the person responsible for this article, as of this date and are subject to change without notice.