PGIM Real Estate offers a range of real estate equity, real estate debt, agriculture and sustainable investment strategies across the risk-return spectrum.
We put our fiduciary responsibilities first and are committed to transparency and maintaining a robust risk management environment. PGIM Real Estate takes a consistent approach to risk management that is applied globally to assess multiple levels of risk management at the enterprise, operational and investment levels.
Our robust risk management practices are coordinated through our well-staffed Legal, Investment Risk, Operational Risk, Internal Audit, and Compliance teams to provide governance, organizational infrastructure and processes to:
- Address major layers of risk on macro, portfolio and investment levels
- Develop views on how to manage risk regarding portfolio construction and investment strategies
- Review the underwriting of all proposed investments
- Monitor all portfolios and investments from inception to disposition via regular, comprehensive reporting to regional Investment Committees
- Identify, assess, mitigate, monitor and report on risks facing the overall investment management business
Additionally, our internal, dedicated Investment Research team is focused on actionable and relevant guidance to portfolio, transactions, and asset management teams. At the highest level, Investment Research consistently informs PGIM Real Estate’s professionals on opportunities and risks.
PGIM Real Estate has been a signatory of the UN Principles for Responsible Investment since 2009 with consistently high scores for governance, and seeks to embed ESG best practices throughout our risk management processes.