With significant repricing across all commercial real estate (CRE) sectors, normalizing rent growth, and rising expenses, it’s time to revisit and reassess the CRE space. Get our thoughts on the CRE market today, implications for the banking sector, and risk factors we’re monitoring.
This episode features PGIM Fixed Income’s David Jiang, U.S. Investment Grade Credit Research Analyst, Jason Pan, CFA, FSA, Securitized Products Credit Research Analyst, and host, Tom Porcelli, Chief U.S. Economist.
Recorded on March 12, 2024.
Mapping Geopolitics in Emerging Markets
Pulse Check on U.S. Interest Rates
Insurance in an Inflationary Age
Holiday Indigestion: The Investment Implications of GLP-1s
Realities in Rates
Value Through Headwinds: What’s Next for European Banks?
From Low Ranger to High Plains Drifter
View from the Top: Opportunities in High-Quality Credit
Brews and Bulls: Exploring Big Brewers
Quantitative Tightening: Unwinding Central Bank Balance Sheets
Breaking the Bank?: Weighing Looming Risks in the Commercial Property Sector
Down to the Wire: Daleep Singh examines the U.S. debt-ceiling crisis, potential outcomes, and probabilities
Outlook on China—Discussing the Re-Opening, Growth Forecast, and More
Spotlight on the 2023 Banking Crisis
Navigating Default Lines
Hitting Home: The State of the Residential Real Estate Market
Supply Chain Strain Reframe
The Bonds are Back in Town: How the Pandemic has changed the “low for long” into a strategic buying opportunity in bonds?
What’s Next for the Global Economy and the Fixed Income Market? A Discussion with Greg Peters and Daleep Singh
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