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In this episode, Michel Couillard, CRE, discusses the capital markets with Constantine Korologos, CRE. Capital Market Risk is listed as the #3 issue in the 2020-21 Top Ten Issues Affecting Real Estate® by The Counselors of Real Estate®. Seven months into the pandemic, the resultant volatility has made pricing debt more challenging and has had a profound impact on both the debt and equity capital markets.
Constantine “Tino” Korologos, CRE has worked in the real estate industry for 35 years, and has held several senior executive and managing director positions at Wachovia Securities, Bear Stearns and Co., GE Capital Real Estate, Moody’s Investors Service, Equitable Real Estate Investment Management, and Deloitte & Touché, where he focused on the capital markets, valuation, structured finance, consulting and investment banking. Complementing his professional experience, he is a Clinical Assistant Professor, teaching graduate real estate finance, capital markets, and portfolio risk courses in the New York University Schack Real Estate Institute, where he has been on the faculty for over 25 years.
The “Top 10 in 20” series is part of The Counselors of Real Estate’s CRE® Thought Leaders podcast program. In each 20-minute episode, we discuss an issue from the 2020-2021 Top Ten Issues Affecting Real Estate.
Intro Music: Driven To Success by Scott Holmes Music – licensed under CC BY 4.0
Further Reading
- The 2020-2021 Top Ten Issues Affecting Real Estate®: https://cre.org/topten/
- Read Tino Korologos’s piece in Real Estate Issues: https://cre.org/real-estate-issues/capital-markets-revisiting-risk-and-return-in-the-face-of-uncertainty/