High yield Alternative Real Estate debt: The European Market opportunity
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On Wednesday, June 19th at 12:30 PM CET, in association with Colony Capital, Marcus Evans Webinars bring together a speaking panel of thought leaders and innovators to discuss Real Estate Debt and the European Market opportunity.
Why This Webinar
As the economy has been slowly recovering after the Globa Financial Crisis, the increasing regulation leaves European corporations with little access to capital and European banks with restrained lending capacity.
Furthermore, the European private debt market historically ranks behind the US market: as corporate financing in the US is dominated by capital markets, Banks still have the largest market share in European financing.
This highlights an evident lag in alternative lending in Europe and a considerable market share in corporate financing that is yet to be gained.
This Webinar will give investors access to compelling and often proprietary, high yield alternative debt investment opportunities (with 15% return) and valuable insight understanding risk and navigating changing market climate.
Webinar Agenda Includes:
- Understand the advantages of alternative real estate debt investments
- Zoom in on the European financing market
- Discover Colony Capital’s approach and past and present investments
Speakers
Pension & Investment Consultant
Schneider Electric
Miguel professional objective is to guide pension funds, and financial institutions in general, in their transformation journey to succeed in an environment defined by low expected returns, risk impact consciousness, tougher regulations, demographic changes and fee pressure.
He has built his professional experience up to CEO level in corporate pensions, pension funds, foundations and mutual funds. With 20+ years’ experience in investment and risk management from a manager and advisory points of view.
He has demonstrated his leadership in strategic asset allocation, ALM exercises, liability insurance, risk management, traditional and alternative asset classes, portfolio construction and implementation, governance, pension’s design, communication & training, elaboration of strategic plans for business development.
Managing Director Investment Management
Colony Capital
Mr. Moussalem is responsible for the identification, evaluation, execution and management of European investments.
Prior to joining the Colony business in 2000, Mr. Moussalem worked for AXA in Paris in the Financial Products engineering department.
Mr. Moussalem graduated from the Ecole Centrale in Lyon, with a Master’s in Information and Communication Technology.
Managing Director Investment Management
Colony Capital
Stefan Jaeger has more than 17 years of experience in the financial services and investment management industry. He currently serves as Managing Director of Colony Capital, Inc. where he is responsible for the sourcing, evaluation, structuring, consummation and management of investments in Europe.
He represents Colony Capital, Inc. on the board of various joint-venture and portfolio companies across Europe. Prior to joining Colony in 2011, he spent ten years in investment banking, specializing in real estate, distressed debt and structured finance. Most recently, as a Director within Barclays Capital’s investment banking division. Prior to that, he worked within Citigroup’s Special Situations Group — a unit making proprietary investments on behalf of Citigroup Global Markets — and Credit Suisse First Boston’s Asset Finance Group.
Mr. Jaeger received his Bachelor of Science degree in Accounting and Finance from the London School of Economics in 2001.
Managing Director, Head of Investor Relations — Europe
Colony Capital
Jean-Philippe Besse is Managing Director, Head of Investor Relations — Europe at Colony Capital, Inc. Mr. Besse is responsible for overseeing Colony Capital’s investor relations efforts in Europe and developing its current and prospective European investors.
Prior to joining Colony Capital in 2017, Mr. Besse was partner at La Française AM, a leading asset manager in Europe, where he was Head of International Development, interfacing with European and Middle Eastern investors on all aspects of capital formation across various asset management expertise. Mr. Besse started his professional career within the AXA group in New York and Paris where he was Head of Marketing for AXA Financial Products.
Mr. Besse graduated from Ecole Polytechnique in France and he is an actuary.