22 - 24 Sept 2026 | Madrid, Spain

Risk-return profiles. How to mitigate uncertainty in Real Estate?

Thu 20 Oct | 13:20 - 14:00

Real estate investment has traditionally maintained a different correlation to other investment markets. This ability to behave differently from fixed income and equity markets has allowed real estate investment to be adopted by large investment portfolios as a risk mitigating element. Today, with an economic policy that has not maintained its conventional profile in recent decades, the Sector must face challenges linked to the profitability offered by the assets compared to other investment alternatives in the market.

Speakers
Itamar Volkov

Itamar Volkov

Managing Partner

Frux Capital Investments

Sergio Fernandes

Sergio Fernandes

Head of Investors

JLL Spain

Kaho Ha

Kaho Ha

Partner

GRC

Moderator
Alvaro Gabarró

Alvaro Gabarró

Founder Partner

LOAN LAND