Comprehensive and proactive risk management has never been more relevant, with evolving market risks since the pandemic and emerging issues from climate change, rising interest rates, and inflation, to geopolitical tensions. Risk management enhances and safeguards the potential of real estate portfolios. This course will build on the practical understanding of risk management, from a portfolio and asset-level perspective for institutional investors and investment managers. The course is taught by leading risk management experts, with many opportunities to interact with speakers and peers during breakout discussions and case studies.
The Attendance Fee is:
€750 for INREV members
€1000 for non-members
If you are not an INREV member and wish to register, please contact INREV Academy.
11 February, 2025
Registration and welcome coffee
Start course
End course
The INREV Risk Management course begins with an overview of real estate risk management, within the context of an overall alternative portfolio. Then, it focuses on risk management for non-listed real estate portfolios, including property-level risks. It covers the latest approaches to strategic risk management and the consequences of current macroeconomic challenges for companies’ risk management functions. Finally, it examines the growing importance of ESG and climate risks.
The course will cover the following topics:
- Fundamentals of risk management
- Portfolio and property-level risks
- Role of the risk manager and risk management tools
- Current risks driven by market circumstances
- Emerging strategies for ESG and climate risks
Upon completion of the course, participants will be able to:
- Have a comprehensive understanding of risk management
- Identify the potential impact of risks in indirect investments
- Better understand risk measurement and monitoring approaches
- Evaluate risk management and mitigation techniques
This course is tailored to experienced professionals with several years of experience in the non-listed real estate investment industry, who wish to increase or expand their understanding of risk management. This includes financial, fund and risk managers/analysts from manager organisations, as well as portfolio, investment, or financial and risk managers/analysts within investor organisations.
Location
Munich
Location to be confirmed
This course is open to INREV members and non-members and counts towards the INREV Academy Certificate for Non-listed Real Estate Investments.