'Turning point in the institutional real estate market'
Chapter 1 of the 6-part series "REAL ESTATE STRATEGY 2025+: REVITALIZATION, REPOSITIONING, SECURING THE FUTURE"
The framework conditions for institutional real estate investors have changed drastically in recent years. Once valued as stable and high-yield investments, real estate portfolios now face a variety of challenges. Increased interest rates, stricter ESG requirements and changing demand structures are shaping the new reality. Many real estate portfolios have to adapt in order to remain stable in value and affordable in the long term. The classic buy-and-hold model is reaching its limits, and active asset management plays a central role.
In the first chapter, we analyze the central drivers of these changes and show why "business as usual" is not an option.
The solution lies in active asset management: repositioning of existing properties and targeted portfolio transformation can help institutional investors to reduce risks and take advantage of opportunities.



