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Evolving risks in the European commercial real estate sector
February 25, 2019 (4.28mins)
Ramzi Kattan
In this episode of Moody's talks, Anke Rindermann, Associate Managing Director within EMEA Coporate Finance, and Ramzi Kattan, VP-Senior Analyst covering European real estate, discuss the expected stability of issuers across Europe during an advantageous property market environment. They further delve into the effect rising interest rates and quantitative tightening have on the sector, and potential vulnerabilites across the region.​​​
Favourable operating environment supports credit quality, but risks are rising
​​Strong property market fundamentals will sustain credit quality, but slower economic growth, falling asset values and a more constrained funding environment are potential risks.​