European real estate debt continues to gain prominence among institutional investors, offering the potential for attractive risk-adjusted returns and downside protection through senior secured positions in the capital stack. While no investment is without risk, the current market dynamics present a compelling opportunity to deploy capital strategically.
In this short video, David Renshaw, Managing Director & Co-Head of Fiera Real Estate’s European Debt Strategy, shares insights on where we see the most significant opportunities.
We remain confident that strong demand will continue for high-quality, well-located real estate that meets elevated ESG standards. As the asset class matures, private real estate debt will increasingly complement direct real estate investment, becoming a key component of a well-diversified portfolio.