We Predicted the CRE Storm: What Happened and What’s Next? (Oct 2025)
2025 follow-up: confirms declines and lender pullback, notes ‘extend & pretend’, outlines why CRE debt still offers superior risk-adjusted returns and what’s ahead.
2025 follow-up: confirms declines and lender pullback, notes ‘extend & pretend’, outlines why CRE debt still offers superior risk-adjusted returns and what’s ahead.
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EM equities outperformed across 2025; attribution, sector/country allocation, contributors/detractors, and positioning focused on AI-related semis and resilient consumption. View PDF
Quarterly performance review and outlook covering global equities, fixed income, and tactical positioning; discusses US exceptionalism, sector drivers, and key detractors/helps. View PDF
EM stocks struggled in Q4; positioning in materials and real estate aided relative returns; financials detracted; highlights Trip.com, Emaar, Wiwynn; outlook into 2025. View PDF