No spam - just the latest insights!
Join over 30,000 industry professionals who subscribe for free
No spam - just the latest insights!
Join over 30,000 industry professionals who subscribe for free
Get exclusive early
access before the official launch
Hear directly from the Big Four advisory firms and leading international law firms on emerging issues
- with our authors given full editorial independence to address the topics that truly matter in each jurisdiction
Subscribe for free!
We'll never share your information or send you spam
As we enter the 2026–27 cycle, real estate finance is undergoing a decisive recalibration: the era of cheap liquidity and indiscriminate allocation is giving way to selective, outcome-focused underwriting amid geopolitical fragmentation and intensifying climate, occupancy and refinancing risks. Investors and regulators are now prioritising resilient assets, credible energy-performance data and the sharper pricing of physical and transition risks over volume-driven growth.
This book provides a comprehensive overview of the latest developments, regulations and trends shaping the global real estate finance and investment landscape. It serves as an authoritative guide to navigating the complex world of international property markets, offering in-depth analysis of regulatory changes, financing structures, emerging markets and sector-specific insights for 2026/27.