• ISA Briefing: The emergence of land-driven logistics real estate
    Jun 3 2025

    The what, why and how of Industrial Outdoor Storage (IOS)

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    6 mins
  • ISA Briefing: Working backwards: Dealing with unprecedented policy uncertainty
    Apr 16 2025

    A reader waking up from a quarter-long slumber on April 1, 2025 would be forgiven for confusing the headlines for an April Fools’ Day prank. They would scan the news and see stories about:

    • large tariffs alternately announced, rescinded, delayed and reintroduced at a breakneck pace (see LaSalle Macro Quarterly, or LMQ, p. 4);
    • US equities in correction territory as ex-US markets, including even China’s, outperform (LMQ p. 25);
    • increasing calls that the risk of a US recession is rising (LMQ p. 20); and
    • substantial upward revisions in forecasts of long-term European GDP growth (LMQ p. 21).

    Each of these is at least partly (and in some cases completely) contrary to expectations from the beginning of this year. But the quick reversal in the economic narrative is no April 1st joke. The post-election consensus of a supercharged US economy pulling ahead of the rest of the world has clearly been challenged, if not upended.

    In this period of elevated policy uncertainty, real estate investors should focus on what they can and should do amidst all the noise. At the risk of stating the obvious, we think it helps to take a step back and break down the analysis into three basic steps of incorporating news flow into investment strategy — the what, the so what, and action steps. But as we will discuss, the first two are characterized by so much uncertainty that it is also helpful to start from the end and work backwards, asking: What can investors do to improve their chances of successfully navigating this environment regardless of what happens?


    Contributors:

    Brian Klinksiek

    Global Head of Research and Strategy

    Petra Blazkova

    Managing Director, Research and Strategy

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    7 mins
  • Debt investing in Europe - Dave White and Dominic Silman
    Dec 16 2024

    Listen in as Dave White and Dominic Silman discuss questions about debt investing in Europe:


    0:10-1:37 How have RED opportunities changed in the last few years?

    1:38-2:50 How has LaSalle determined where and what to invest in?

    2:54-4:21 What does all of this actually mean for investors?

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    5 mins
  • Debt investing in Europe - Dave White and Brett Ormrod
    Dec 16 2024

    Listen in as Dave White and Brett Ormrod discuss questions about debt investing in Europe:


    0:10-1:10 Why do green loans seem to be the exception?

    1:12-2:03 How is this affecting the market?

    2:05-3:03 How are sponsors and investors responding to these challenges?

    3:05-3:45 What does this mean for investors bottom lines?

    3:48-4:37 How would you summarise the current opportunity?


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    5 mins
  • ISA Outlook 2025: North America chapter
    Dec 2 2024

    The summer and autumn of 2024 saw growing optimism among real estate investors. The belief that the dawn of 2025 would open with sunny skies for the real estate market was driven by falls in interest rates from peak levels, fading economic growth concerns and real estate valuations now more aligned with market transactions.

    But with more uncertainty creeping into the picture in late 2024, especially around longer-term interest rates, what we see could be described as a “partly cloudy sunrise.”


    Contributors:

    Richard Kleinman

    Americas Head of Research and Strategy

    Chris Langstaff

    Canada Head of Research and Strategy

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    15 mins
  • ISA Outlook 2025: Europe chapter
    Nov 27 2024

    While dawn is universal, across Europe it can appear different from each location and every angle. European real estate is transiting inflection points following a deep capital market correction. The INREV ODCE index shifted in the latest quarter from declines to positive after seven down quarters.

    Against this backdrop, we share our Impressions of a Rising Cycle in Europe, with a focus on what makes the region different from others across the globe. We also share our five key strategy themes for investors in European real estate for the year ahead.


    Contributors:

    Dan Mahoney

    Europe Head of Research and Strategy

    Dominic Silman, PhD

    Europe Head of Debt and Value-add Capital Research and Strategy

    Petra Blazkova

    Europe Head of Core and Core-plus Research and Strategy

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    15 mins
  • ISA Outlook 2025: Global chapter
    Nov 19 2024

    In the Global chapter of ISA Outlook 2025, we look at how to make the most of this new dawn and the opportunities it may present, but with a watchful eye on ways the new day could go off track. We examine these through four broad themes in this year’s report: the morning sky, the capital stack hangover, the breakfast menu, and the early bird.

    We examine each of these concepts in turn, and ask what each means for real estate and they intersect with one another and other key trends.

    Read more at: https://www.lasalle.com/Outlook2025


    Contributors:

    Brian Klinksiek

    Global Head of Research and Strategy

    Eduardo Gorab

    Managing Director, Global Research and Strategy

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    16 mins
  • ISA Focus: Rebalancing past and present
    Oct 30 2024


    We regularly receive questions about past property market dislocations and what they might tell us about today, such as: Is office the new retail?, Will the 7+ years it took retail to rebalance be a template for office? and Should we be worried about the wave of supply in US apartments?

    In our latest ISA Focus report, Rebalancing past and present, we engage in patten recognition across a range of historical episodes of occupier market challenges. We present a framework for how these imbalances tend to be resolved, and discuss the range of structural and cyclical factors that drive rebalancing. We also present a selection of historical case studies from around the world, highlighting the complex nature of the rebalancing process and how it can occur not only at different speeds, but also with “bumps in the road” for investors.


    Contributors:

    Brian Klinksiek

    Global Head of Research and Strategy

    Chris Psaras

    Senior Strategist, European Research and Strategy

    Heidi Hannah

    Senior Strategist, Americas Research and Strategy

    Kyra Spotte-Smith

    Associate, Research

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    10 mins