CBRE Group, Inc. is the world’s largest commercial real estate services and investment firm, with 2020 revenues of $23.8 billion and more than 100,000 employees (excluding affiliate offices). CBRE has been included on the Fortune 500 since 2008, ranking #122 in 2021. It also has been voted the industry’s top brand by the Lipsey Company for 20 consecutive years, and has been named one of Fortune’s “Most Admired Companies” for nine years in a row, including being ranked number one in the real estate sector in 2021, for the third consecutive year. Its shares trade on the New York Stock Exchange under the symbol “CBRE.”
CBRE offers a broad range of integrated services, including facilities, transaction and project management; property management; investment management; appraisal and valuation; property leasing; strategic consulting; property sales; mortgage services and development services.
CBRE Global Investors, combined with CBRE Clarion Securities and CBRE Caledon, is one of the world’s leading real asset investment managers with $124.5 billion in assets under management.
Built up over more than 40 years, our unparalleled platform is focused on real assets, giving our institutional clients access to real estate and infrastructure in the Americas, Europe and Asia Pacific. Our clients benefit from a complete range of investment solutions including equity and debt, direct and indirect, and listed and unlisted strategies.
Trammell Crow Company, founded in Dallas, Texas in 1948, is one of the nation’s oldest and most prolific developers of, and investors in, commercial real estate.The CBRE Global Investors and Trammell Crow Company platforms make up the Real Estate Investments division of CBRE Group.
The Real Estate Investments division is led by Mike Lafitte, Global CEO, Real Estate Investments.
Regularly released content on the state of the real estate and infrastructure industry are produced by our subject matter experts and shared on their blogs. A selection of them can be found below.
Well-diversified portfolios of global infrastructure assets that are customized for our clients’ mandates
Private Infrastructure Assets Under Management
Invested in Global Private Infrastructure Assets Since Inception
Years of Infrastructure Experience
We have more than $5 billion of assets under management for institutional investors. Our infrastructure strategy is to build and manage well-diversified portfolios of global infrastructure assets that are customized for our clients’ mandates, in addition to our commingled vehicles.
Investment in infrastructure is among the world’s leading growth drivers and is a strategic priority for countries worldwide. As infrastructure assets are typically monopolistic, they provide a low-risk way to diversify while the duration and resilience of the cash flows can give investors attractive income and growth potential.
We have built and nurtured a global network that we leverage to source and build well-diversified investment portfolios. By proactively sourcing and underwriting global investment opportunities, we can provide our clients with long-term value and lower portfolio risk.
For infrastructure investing, on-the-ground presence is essential to building relationships, underwriting market potential, assessing regulatory risk and identifying investment opportunities. Our team can leverage our extensive global network and our research locations worldwide.