Webinar

Near-term real estate performance and long term risk

In an environment where cyclical risks are rising, structural risks continue to remain important. Rising geopolitical uncertainty, weakening growth prospects and quickening rate hikes have led us to revise our near-term real estate outlook, while the long-term risks stemming from the climate transition are also ever-present. We examine near-term real estate performance and long-term obsolescence risk in this webinar.

Note: Can’t make it to any of the sessions? Feel free to register for any session and we will automatically share the recording with you 3 hours after the webinar has finished.

Christopher Babatope Bio
Christopher Babatope

Associate Director, Real Estate Economics

Christopher Babatope Bio

Christopher Babatope

Associate Director, Real Estate Economics

Christopher is an Associate Director within the Real Estate Economics Service team, with a particular focus on North America. Prior to joining Oxford Economics in 2021, he worked at Property Market Analysis for six years, where he led the firm’s US research and forecasting service. He has held several research and consulting roles with real estate brokerages, including CBRE and Knight Frank.

Mark Unsworth
Mark Unsworth

Associate Director, Real Estate Economics

Mark Unsworth

Mark Unsworth

Associate Director, Real Estate Economics

Mark is responsible for the UK and European Real Estate Economics Service having joined Oxford Economics in 2021 following 6 years at Cushman & Wakefield as Partner – Head of EMEA Forecasting. At Cushman, Mark led the quarterly city-level property forecasting service, produced pan-European property market consultancy reports and authored a range of content on cyclical and thematic issues.

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