As Milan battles a supply/demand imbalance for quality core commercial and residential stock, as well as a global pandemic that has stalled global trade and livelihood, real estate investors must ask themselves what long term impacts such factors might have on an already fragile market?
This eMeeting will assess the short term risks to Italian real estate,buy/sell strategies across all assets and locations, state of yields and debt to better forecast and safeguard business in the long run.
This eMeeting will assess the short term risks to Italian real estate,buy/sell strategies across all assets and locations, state of yields and debt to better forecast and safeguard business in the long run.
The next 6 Months - Safeguard assets and income, what possible scenarios?
Italy Debt Market - Too fragile to recover from Covid-19 impacts?
Rome & Other Secondary Cities - Now key to unlocking growth?
Buy/Sell Strategies in Times of High Risk - Which assets & where?
The next 12-18 Months - Positive and negative scenario planning.
Submit your interest (Non members)
Participation is restricted to Club Members and eMembers.
If you would prefer to contact us by email, please send to [email protected].
Our team will get in touch with you soon to confirm your participation
Participation is restricted to Club Members and eMembers.
If you would prefer to contact us by email, please send to [email protected].
REAL ESTATE
This eMeeting is exclusive
for Premium members
for Premium members
This event is exclusive for GRI members.