The real estate industry is undergoing significant transformation, influenced globally by structural and cyclical factors. Macroeconomic headwinds and shifting demographic trends have impacted housing, commercial real estate, and global logistics alike. How are industry leaders navigating the complex risk-reward dynamics and adapting their investment strategies across differentiations within the asset class? What innovative financing structures and risk-mitigation measures are being adopted to enhance market stability and growth potential, without sacrificing affordability? What are regional differences to keep top of mind?