
The PERE Podcast Europe’s real estate reset: Capital flows and credit bring cautious optimism
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Oct 1, 2025 In this enlightening discussion, Jay Patel, Managing Director at Arrow Global, and Arvi Luoma, Head of Cain International’s European investment committee, explore the shifting landscape of European real estate. They reveal that US and Middle Eastern investors are increasingly eyeing Europe. The duo identifies key opportunities in distressed projects in Germany, Spain’s booming tourism, and the rising demand for student housing. They also dive into the evolving role of ESG in investments and how stabilizing financing conditions are paving the way for cautious optimism in the market.
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Europe Past The Trough
- Arvi Luoma thinks Europe has passed the trough and valuations show green shoots since late last year.
- He sees the market entering a new cycle with rising activity across credit and equity.
Global Rebalancing Into Europe
- Jay Patel says global allocators are rebalancing away from the US into Europe due to geopolitics.
- That rotation is renewing interest in European real estate equity as rates stabilise.
Debt’s Rise Repriced Equity
- Credit delivered strong returns during the rate rise, making equity less attractive until debt normalises.
- As debt pricing becomes competitive, equity strategies regain appeal and LPs will re-evaluate allocations.
