Viewpoints by Kamran Soleiman, CFA, at Manulife Investment Management
Kamran is responsible for developing, implementing, and managing the overall strategic research plan for the firm’s commercial real estate arm in Canada and the United States; he also supports portfolio management and the transactions team in setting strategic plans. Prior to joining the firm, he held a variety of roles within the commercial real estate industry at Soliton Holdings, Vedera Capital, and Nexus Capital. Kamran holds the Chartered Financial Analyst designation.
- Education: B.S., Information Technology, M.B.A., Finance, American University in Dubai, UAE; M.S., Finance, Rotman School of Management, University of Toronto
- Joined the company: 2015
- Began career: 2005
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Why Canadian real estate now?
In times of uncertainty across much of the world, an allocation to Canadian real estate may provide a safe harbor in the storm. With a history of attractive risk-adjusted returns¹ in its commercial property markets, we believe Canada’s robust capital markets and strong economic fundamentals will continue to create opportunities for real estate investors.
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How commercial real estate prices are connected to climate risk
Like so many other things, climate change is now affecting real estate markets. Our experts explain how real estate prices are connected to climate risks.
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