CBRE Global Investors, combined with CBRE Clarion Securities and CBRE Caledon, is one of the world’s leading real asset investment managers providing real estate and infrastructure investment solutions to over 500 clients worldwide.
CBRE Global Investors is the investment management division of CBRE Group, Inc. the world’s premier commercial real estate services and investment firm. The company’s shares trade on the New York Stock Exchange under the symbol “CBRE.”
Investing in real estate securities since 1984, CBRE Clarion maintains one of the longest investment track records in the industry.
Our real estate securities investment solutions draw upon over 30-years of real estate investment experience, are driven by our proprietary fundamental research, and supported by the strength of CBRE’s industry-leading real estate research and investment platform.
We believe real estate securities offer investors the advantages of competitive total returns, consistent dividend income, and portfolio diversification. In addition, real estate securities provide investors with the benefits of increased liquidity and transparency via the public markets as compared to generally illiquid investments in the private market.
We offer our clients an innovative line-up of actively managed real estate investment solutions which are available to institutional and individual investors worldwide through a range of investment vehicles.
Real Estate is a local business, our Investment teams located in the firm’s offices worldwide benefit from the strength and resources of CBRE Group, the world’s premier real estate services and investment management firm.
Across each of our investment strategies, our experienced investment teams maintain one of the longest track records in the industry, managing U.S. REITs since 1984, and Global REIT portfolios since 2001.
Our time-tested investment process seeks to deliver attractive long-term risk-adjusted returns through a combination of proprietary fundamental research and systematic approach to portfolio construction and risk management.
FUNDAMENTALLY DRIVEN
FUNDAMENTALLY DRIVEN
Fundamentals drive listed market valuations and performance over the long-term.
Inefficient Markets
Inefficient Markets
Short-term pricing dislocations between the private and listed markets create opportunities for active management.
Systematic Approach
Systematic Approach
We combine our rigorous fundamental research with a systematic approach to risk management and portfolio construction.
Two Ways to Add Value
Two Ways to Add Value
Active positions at the individual stock and sector level adds value long-term.
Brian Kinsella
Vice President
Institutional Clients and Consultants
[email protected]
Joseph Lavin, CIMA
Senior Vice President
Intermediary Channel and Sub-advisory
[email protected]